🚨 ALERTS πŸ”₯ 52W High: RKLX, WDC, MUU, STX, MCHP, SOXL, RKLB, MU, LRCX, ADI, AEO, HIBL, DFEN, SATS, AMAT, KLAC, XME, AZN, MAR, MDB, SMH, XRT, EDC, DDM, XLB, XLV, UPRO, SPXL, BNKU, QTUM, QQQE, AXP, FAS, CAT, GE, SHLD, ROST, MRK, TSM, XLI, TMO, SSO, MS, FDGFX, ASML, FCNTX, JEPQ, GS, RTX, SCHW, ONEQ, FXAIX, VTI, VOO, QQQI, SPY, IVV, SCHD, BAC, XLF, JPM, C, FER, EA, XLC, WFC | πŸ“‰ 52W Low: AMC, FOUR, ROP, TRI, GME, TTD, KHC, LB, CRWG, MSTR | οΏ½ Buy: CSX | 🟠 Sell: TTD, TPL | πŸš€ Surge: RKLX, WDC, MUU | πŸ“ˆ Vol Spike: RKLX, WDC, PTIR, CURE, UNHG, DFEN, SATS, PDD, MIDU, SMH, EDC, SPYU, WEBL, DDM, BNKU, ORCX, BULZ, SPRX, TRFK, BUZZ, PILL, KOSS, CRWG, CONL | πŸš€ ML Breakout: WDC, STX, MCHP, RKLB, MU, LRCX, AXON, AEO, CAVA, SATS, KLAC, GILD, NVO, GE, LLY, ASML, GS, BA, AFRM, C, ARM | ⚑ Custom: AAPL

πŸ“Š Dashboard

10:55:29 AM PST on January 06, 2026
Gold: 4496.80 (+45.30) | Silver: 80.76 (+4.10) | Copper: 6.04 (+0.07) | Bitcoin: 92093.88 (-1767.85) | CVR3: NEUTRAL | F&G: 52.4 (Neutral) | AAII: Bull 100.0% Bear 0.0%
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All
⭐ Starred
πŸ“Š High Vol
πŸ“… Earnings
🟒 Buy
🟠 Sell
πŸ”΄ Short
⏸️ Hold
πŸ“‰ Oversold
πŸ“ˆ Overbought
πŸš€ Surge
πŸ’₯ Crash
🌐 Tech
⚑ Leveraged
🏦 ETFs
🚧 Emerging Tech
πŸ’° Dividend
🎲 Speculative
πŸ”₯ Squeeze
πŸ“ BB Squeeze
TICKER PRICE VOLUME DAY % 5D % 1M % 6M % YTD % 1Y % 3YR10K RANGES INDICATORS SENTIMENT
RKLX ↑ (Y, F, Z, S) $57.30 4.2M β–² +15.69% (+7.77) β–² +40.82% (+16.61) β–² +164.06% (+35.60) β–² +980.39% (+52.00) β–² +44.01% (+17.51) β–² +986.34% (+52.03) β–² +986.34%
$108,634
Day
$44.40$57.42
52W
$3.32$57.42
Bollinger Bands
$17.89$38.11$58.34
Width: 106.1% – Inside
Implied Move Β±5.9%
$54.41$60.19
MACD: Bullish
Short: N/A (N/A)
Volatility: 184.2%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $7.33 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
WDC ↑ (Y, F, Z, S) $217.35 14.6M β–² +15.69% (+29.47) β–² +23.45% (+41.29) β–² +28.69% (+48.46) β–² +506.74% (+181.53) β–² +26.17% (+45.08) β–² +339.69% (+167.92) β–² +676.59%
$77,659
Day
$189.34$219.00
52W
$28.72$219.00
Bollinger Bands
$158.05$179.54$201.03
Width: 23.9% – Above Upper
Implied Move Β±3.9%
$210.10$224.60
MACD: Bullish
Short: 10.4% (3.7d)
Volatility: 73.8%
Opt Dir: Bullish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $11.17 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: -13.9%
MUU ↑ (Y, F, Z, S) $137.10 1.4M β–² +15.16% (+18.05) β–² +29.31% (+31.08) β–² +91.26% (+65.41) β–² +1815.68% (+129.94) β–² +36.09% (+36.36) β–² +592.53% (+117.30) β–² +441.41%
$54,141
Day
$124.97$137.87
52W
$6.42$137.87
Bollinger Bands
$54.48$92.95$131.43
Width: 82.8% – Above Upper
MACD: Bullish
Short: N/A (N/A)
Volatility: 137.1%
Opt Dir: Neutral
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $10.79 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
STX ↑ (Y, F, Z, S) $326.02 2.6M β–² +12.49% (+36.19) β–² +16.40% (+45.94) β–² +17.25% (+47.96) β–² +345.89% (+252.90) β–² +18.38% (+50.63) β–² +272.96% (+238.61) β–² +537.66%
$63,766
Day
$293.35$327.50
52W
$62.49$327.50
Bollinger Bands
$265.57$288.53$311.49
Width: 15.9% – Above Upper
Implied Move Β±2.4%
$319.29$332.75
MACD: Bullish
Short: 7.2% (3.0d)
Volatility: 73.3%
Opt Dir: Bullish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $14.85 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -8.9%
MCHP ↑ (Y, F, Z, S) $74.32 7.6M β–² +10.82% (+7.26) β–² +14.90% (+9.64) β–² +12.92% (+8.51) β–² +92.97% (+35.80) β–² +16.63% (+10.60) β–² +31.52% (+17.81) β–² +9.86%
$10,986
Day
$70.75$74.61
52W
$33.33$75.98
Bollinger Bands
$61.52$66.29$71.05
Width: 14.4% – Above Upper
Implied Move Β±1.5%
$73.38$75.25
MACD: Bullish
Short: 5.3% (3.7d)
Volatility: 49.9%
Opt Dir: Bearish
Bias: Down
πŸš€ 81%
Confidence: HOLD
ATR: $2.33 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +2.5%
SOXL ↑ (Y, F, Z, S) $53.68 75.3M β–² +9.06% (+4.46) β–² +22.92% (+10.01) β–² +15.44% (+7.18) β–² +518.43% (+45.00) β–² +27.72% (+11.65) β–² +66.31% (+21.40) β–² +404.68%
$50,468
Day
$51.07$53.89
52W
$7.21$53.89
Bollinger Bands
$35.97$44.45$52.92
Width: 38.1% – Above Upper
Implied Move Β±7.8%
$50.11$57.25
MACD: Bullish
Short: N/A (N/A)
Volatility: 105.0%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $3.03 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
AMZU ↑ (Y, F, Z, S) $38.43 3.5M β–² +8.16% (+2.90) β–² +8.31% (+2.95) β–² +10.35% (+3.60) β–² +81.88% (+17.30) β–² +9.96% (+3.48) β–Ό -9.48% (-4.02) β–² +231.05%
$33,105
Day
$35.27$38.53
52W
$20.14$47.61
Bollinger Bands
$31.87$34.63$37.38
Width: 15.9% – Above Upper
Implied Move Β±7.3%
$36.03$40.83
MACD: Bullish
Short: N/A (N/A)
Volatility: 67.3%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.37 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
NXPI ↑ (Y, F, Z, S) $242.05 1.5M β–² +8.12% (+18.17) β–² +10.03% (+22.07) β–² +6.66% (+15.11) β–² +43.08% (+72.88) β–² +11.51% (+24.99) β–² +15.55% (+32.58) β–² +60.40%
$16,040
Day
$231.11$242.93
52W
$146.07$250.74
Bollinger Bands
$215.23$226.34$237.44
Width: 9.8% – Above Upper
Implied Move Β±1.3%
$239.32$244.78
MACD: Bullish
Short: 3.5% (2.8d)
Volatility: 38.9%
Opt Dir: Bearish
Bias: Up
πŸš€ 28%
Confidence: HOLD
ATR: $6.51 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +7.7%
RKLB ↑ (Y, F, Z, S) $84.31 20.9M β–² +7.90% (+6.17) β–² +19.68% (+13.86) β–² +71.87% (+35.26) β–² +352.07% (+65.66) β–² +20.86% (+14.55) β–² +192.75% (+55.51) β–² +1893.18%
$199,318
Day
$74.05$84.47
52W
$14.71$84.47
Bollinger Bands
$46.61$66.71$86.80
Width: 60.2% – Inside
Implied Move Β±3.1%
$82.06$86.56
MACD: Bullish
Short: 8.7% (1.3d)
Volatility: 92.1%
Opt Dir: Bullish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $6.37 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -18.5%
MU ↑ (Y, F, Z, S) $335.91 36.7M β–² +7.61% (+23.76) β–² +14.79% (+43.28) β–² +41.66% (+98.79) β–² +404.30% (+269.30) β–² +17.69% (+50.50) β–² +239.52% (+236.97) β–² +500.31%
$60,031
Day
$318.28$336.52
52W
$61.42$336.66
Bollinger Bands
$212.00$271.57$331.14
Width: 43.9% – Above Upper
Implied Move Β±5.1%
$321.35$350.47
MACD: Bullish
Short: 2.2% (0.9d)
Volatility: 68.7%
Opt Dir: Bullish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $16.36 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -9.1%
LRCX ↑ (Y, F, Z, S) $207.95 8.9M β–² +6.77% (+13.19) β–² +19.66% (+34.17) β–² +31.03% (+49.25) β–² +235.34% (+145.93) β–² +21.48% (+36.77) β–² +169.11% (+130.67) β–² +381.88%
$48,188
Day
$198.40$210.45
52W
$55.98$210.45
Bollinger Bands
$148.61$173.00$197.38
Width: 28.2% – Above Upper
Implied Move Β±1.9%
$204.55$211.35
MACD: Bullish
Short: 2.9% (3.0d)
Volatility: 51.0%
Opt Dir: Neutral
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $7.60 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -18.3%
AXON ↑ (Y, F, Z, S) $629.30 414.3K β–² +6.45% (+38.14) β–² +10.00% (+57.19) β–² +14.22% (+78.35) β–² +16.12% (+87.37) β–² +10.81% (+61.37) β–² +10.27% (+58.59) β–² +268.23%
$36,823
Day
$595.00$629.88
52W
$469.24$885.92
Bollinger Bands
$533.36$574.93$616.49
Width: 14.5% – Above Upper
Implied Move Β±5.7%
$598.78$659.82
MACD: Bullish
Short: 3.1% (2.8d)
Volatility: 45.6%
Opt Dir: Bearish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $21.24 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +30.2%
⏸️ PLTU ↓ (Y, F, Z, S) $74.39 879.3K β–² +6.23% (+4.36) β–Ό -2.30% (-1.75) β–Ό -3.79% (-2.93) β–² +198.88% (+49.50) β–² +1.16% (+0.85) β–² +227.13% (+51.65) β–² +247.84%
$34,784
Day
$70.85$74.96
52W
$13.61$105.79
Bollinger Bands
$67.04$79.57$92.10
Width: 31.5% – Inside
Implied Move Β±13.2%
$66.06$82.72
MACD: Bearish
Short: N/A (N/A)
Volatility: 101.9%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.10 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ PTIR ↓ (Y, F, Z, S) $27.04 5.9M β–² +6.04% (+1.54) β–Ό -2.38% (-0.66) β–Ό -4.95% (-1.41) β–² +196.35% (+17.92) β–² +1.16% (+0.31) β–² +225.18% (+18.72) β–² +1607.90%
$170,790
Day
$25.76$27.26
52W
$5.01$38.79
Bollinger Bands
$24.43$28.95$33.47
Width: 31.2% – Inside
Implied Move Β±28.6%
$20.47$33.61
MACD: Bearish
Short: N/A (N/A)
Volatility: 101.5%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.21 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
ADI β†— (Y, F, Z, S) $293.94 1.7M β–² +6.00% (+16.65) β–² +6.96% (+19.12) β–² +4.87% (+13.64) β–² +70.01% (+121.04) β–² +8.38% (+22.74) β–² +37.06% (+79.48) β–² +87.07%
$18,707
Day
$281.00$294.07
52W
$156.76$294.09
Bollinger Bands
$267.74$277.62$287.51
Width: 7.1% – Above Upper
Implied Move Β±7.1%
$276.09$311.79
MACD: Bearish
Short: 2.2% (3.8d)
Volatility: 30.5%
Opt Dir: Bullish
Bias: Up
πŸš€ 16%
Confidence: HOLD
ATR: $5.55 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: -2.9%
UBER ↑ (Y, F, Z, S) $85.53 18.0M β–² +5.93% (+4.79) β–² +4.15% (+3.41) β–Ό -6.34% (-5.79) β–² +17.29% (+12.61) β–² +4.67% (+3.82) β–² +28.98% (+19.22) β–² +223.96%
$32,396
Day
$81.99$85.63
52W
$60.63$101.99
Bollinger Bands
$76.10$82.82$89.54
Width: 16.2% – Inside
Implied Move Β±3.0%
$83.36$87.69
πŸ”΄ Death Cross
MACD: Bullish
Short: 2.7% (3.7d)
Volatility: 34.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.94 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +29.8%
AEO β†— (Y, F, Z, S) $28.42 3.4M β–² +5.85% (+1.57) β–² +6.48% (+1.73) β–² +23.08% (+5.33) β–² +170.41% (+17.91) β–² +7.77% (+2.05) β–² +71.79% (+11.88) β–² +106.31%
$20,631
Day
$26.89$28.43
52W
$9.08$28.43
Bollinger Bands
$23.41$26.31$29.20
Width: 22.0% – Inside
Implied Move Β±7.2%
$26.67$30.17
MACD: Bearish
Short: 15.4% (2.9d)
Volatility: 51.9%
Opt Dir: Bearish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $0.99 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: -17.1%
HIBL ↑ (Y, F, Z, S) $76.75 135.5K β–² +5.83% (+4.23) β–² +12.97% (+8.81) β–² +14.69% (+9.83) β–² +354.92% (+59.88) β–² +16.87% (+11.08) β–² +68.58% (+31.22) β–² +203.49%
$30,349
Day
$73.17$76.75
52W
$13.62$76.75
Bollinger Bands
$63.12$69.26$75.40
Width: 17.7% – Above Upper
Implied Move Β±3.6%
$74.40$79.10
MACD: Bullish
Short: N/A (N/A)
Volatility: 67.0%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $2.95 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
CAVA ↑ (Y, F, Z, S) $66.93 2.6M β–² +5.44% (+3.45) β–² +14.73% (+8.59) β–² +25.42% (+13.56) β–Ό -16.72% (-13.44) β–² +14.05% (+8.24) β–Ό -43.70% (-51.94) β–² +52.89%
$15,289
Day
$64.74$67.71
52W
$43.41$144.49
Bollinger Bands
$48.71$57.18$65.65
Width: 29.6% – Above Upper
Implied Move Β±1.6%
$66.00$67.87
MACD: Bullish
Short: 15.0% (4.5d)
Volatility: 55.0%
Opt Dir: Bearish
Bias: Down
πŸš€ 81%
Confidence: HOLD
ATR: $2.58 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +1.7%
CURE ↑ (Y, F, Z, S) $117.56 266.0K β–² +5.08% (+5.68) β–² +3.44% (+3.91) β–² +8.96% (+9.67) β–² +53.26% (+40.85) β–² +5.38% (+6.00) β–² +25.68% (+24.02) β–² +7.96%
$10,796
Day
$111.84$118.87
52W
$65.57$120.82
Bollinger Bands
$102.79$110.67$118.54
Width: 14.2% – Inside
Implied Move Β±1.1%
$116.41$118.71
MACD: Bullish
Short: N/A (N/A)
Volatility: 38.4%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $3.33 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
UNHG ↑ (Y, F, Z, S) $18.77 16.7M β–² +4.51% (+0.81) β–² +10.41% (+1.77) β–² +12.00% (+2.01) β–² +36.07% (+4.98) β–² +11.79% (+1.98) β–² +36.07% (+4.98) β–² +36.07%
$13,607
Day
$18.35$19.04
52W
$9.10$22.82
Bollinger Bands
$15.61$17.04$18.46
Width: 16.7% – Above Upper
Implied Move Β±9.1%
$17.33$20.22
MACD: Bullish
Short: N/A (N/A)
Volatility: 52.6%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.77 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
TEAM β†— (Y, F, Z, S) $160.75 1.7M β–² +4.46% (+6.87) β–Ό -1.34% (-2.18) β–² +0.89% (+1.42) β–Ό -16.64% (-32.09) β–Ό -0.86% (-1.39) β–Ό -36.87% (-93.88) β–² +32.54%
$13,254
Day
$151.03$160.92
52W
$139.70$326.00
Bollinger Bands
$155.66$161.28$166.90
Width: 7.0% – Inside
Implied Move Β±3.7%
$155.76$165.74
MACD: Bearish
Short: 3.1% (2.7d)
Volatility: 38.5%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $4.89 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +49.2%
DFEN ↑ (Y, F, Z, S) $77.95 394.4K β–² +4.39% (+3.28) β–² +18.88% (+12.38) β–² +43.57% (+23.66) β–² +242.69% (+55.20) β–² +22.03% (+14.07) β–² +216.13% (+53.29) β–² +374.29%
$47,429
Day
$74.49$78.00
52W
$15.97$78.10
Bollinger Bands
$50.56$63.79$77.01
Width: 41.5% – Above Upper
Implied Move Β±35.6%
$54.35$101.55
MACD: Bullish
Short: N/A (N/A)
Volatility: 61.8%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $3.29 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
ISRG β†— (Y, F, Z, S) $589.80 945.0K β–² +4.14% (+23.42) β–² +3.00% (+17.17) β–² +2.51% (+14.46) β–² +25.94% (+121.48) β–² +4.14% (+23.44) β–² +8.74% (+47.43) β–² +118.13%
$21,813
Day
$564.34$592.98
52W
$425.00$616.00
Bollinger Bands
$542.25$566.03$589.81
Width: 8.4% – Inside
Implied Move Β±1.8%
$580.58$599.02
MACD: Bearish
Short: 2.0% (5.5d)
Volatility: 37.5%
Opt Dir: Bullish
Bias: Up
πŸš€ 15%
Confidence: HOLD
ATR: $9.86 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +1.9%
AMZN ↑ (Y, F, Z, S) $242.56 23.9M β–² +4.08% (+9.50) β–² +4.31% (+10.03) β–² +5.68% (+13.03) β–² +44.97% (+75.24) β–² +5.09% (+11.74) β–² +6.57% (+14.95) β–² +181.78%
$28,178
Day
$232.20$242.92
52W
$161.38$258.60
Bollinger Bands
$219.73$229.33$238.92
Width: 8.4% – Above Upper
Implied Move Β±2.3%
$237.89$247.23
MACD: Bullish
Short: 0.8% (2.2d)
Volatility: 33.7%
Opt Dir: Bearish
Bias: Down
πŸš€ 20%
Confidence: HOLD
ATR: $4.65 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +22.0%
VRTX β†— (Y, F, Z, S) $466.46 1.0M β–² +3.93% (+17.66) β–² +2.80% (+12.72) β–² +2.41% (+10.98) β–Ό -2.32% (-11.06) β–² +2.89% (+13.10) β–² +15.89% (+63.97) β–² +60.73%
$16,073
Day
$455.41$471.28
52W
$362.50$519.68
Bollinger Bands
$438.06$453.26$468.45
Width: 6.7% – Inside
Implied Move Β±0.1%
$466.02$466.90
MACD: Bearish
Short: 1.9% (3.7d)
Volatility: 24.9%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $8.09 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +5.9%
KSS β†— (Y, F, Z, S) $22.23 1.4M β–² +3.93% (+0.84) β–² +9.24% (+1.88) β–Ό -3.04% (-0.70) β–² +225.10% (+15.39) β–² +8.92% (+1.82) β–² +65.44% (+8.79) β–² +2.52%
$10,252
Day
$21.22$22.32
52W
$5.88$25.09
Bollinger Bands
$20.08$22.16$24.23
Width: 18.7% – Inside
Implied Move Β±6.3%
$21.03$23.43
MACD: Bearish
Short: 33.9% (7.6d)
Volatility: 103.1%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.91 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: -0.3%
⏸️ CDNS ↓ (Y, F, Z, S) $312.89 1.2M β–² +3.87% (+11.67) β–Ό -0.86% (-2.71) β–Ό -7.30% (-24.64) β–² +24.38% (+61.33) β–² +0.10% (+0.31) β–² +1.54% (+4.74) β–² +95.97%
$19,597
Day
$302.60$312.99
52W
$221.56$376.45
Bollinger Bands
$300.14$319.58$339.02
Width: 12.2% – Inside
Implied Move Β±3.1%
$304.51$321.26
MACD: Bearish
Short: 1.7% (2.6d)
Volatility: 26.3%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.47 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +22.4%
DNUT β†— (Y, F, Z, S) $4.34 1.5M β–² +3.83% (+0.16) β–² +7.69% (+0.31) β–² +1.17% (+0.05) β–² +0.82% (+0.04) β–² +7.96% (+0.32) β–Ό -54.66% (-5.23) β–Ό -59.67%
$4,033
Day
$4.17$4.53
52W
$2.50$9.85
Bollinger Bands
$3.96$4.34$4.72
Width: 17.5% – Inside
Implied Move Β±4.8%
$4.16$4.52
MACD: Bearish
Short: 27.9% (11.8d)
Volatility: 67.3%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.17 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: -11.9%
SATS β†— (Y, F, Z, S) $114.85 6.2M β–² +3.78% (+4.18) β–² +5.17% (+5.65) β–² +40.06% (+32.85) β–² +446.90% (+93.85) β–² +5.66% (+6.15) β–² +392.28% (+91.52) β–² +591.45%
$69,145
Day
$107.60$115.60
52W
$14.90$115.62
Bollinger Bands
$93.18$105.24$117.31
Width: 22.9% – Inside
Implied Move Β±4.7%
$110.30$119.40
MACD: Bearish
Short: 20.5% (7.1d)
Volatility: 47.9%
Opt Dir: Bullish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $4.51 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -2.1%
TECL ↑ (Y, F, Z, S) $123.42 1.1M β–² +3.71% (+4.42) β–² +1.85% (+2.24) β–Ό -1.41% (-1.77) β–² +229.09% (+85.92) β–² +5.05% (+5.93) β–² +34.83% (+31.88) β–² +500.35%
$60,035
Day
$119.00$123.55
52W
$30.54$146.37
Bollinger Bands
$108.50$120.64$132.79
Width: 20.1% – Inside
Implied Move Β±8.0%
$115.03$131.81
MACD: Bullish
Short: N/A (N/A)
Volatility: 61.5%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.70 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
QCOM ↑ (Y, F, Z, S) $182.79 5.1M β–² +3.67% (+6.48) β–² +5.26% (+9.14) β–² +4.56% (+7.98) β–² +36.53% (+48.91) β–² +6.86% (+11.74) β–² +16.91% (+26.43) β–² +69.64%
$16,964
Day
$177.19$184.45
52W
$118.79$204.90
Bollinger Bands
$169.47$175.95$182.43
Width: 7.4% – Above Upper
Implied Move Β±1.6%
$180.32$185.25
MACD: Bullish
Short: 3.2% (4.5d)
Volatility: 37.9%
Opt Dir: Bullish
Bias: Up
πŸš€ 16%
Confidence: HOLD
ATR: $3.56 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +5.8%
AMAT ↑ (Y, F, Z, S) $294.68 2.9M β–² +3.64% (+10.36) β–² +13.35% (+34.71) β–² +9.96% (+26.68) β–² +119.05% (+160.15) β–² +14.67% (+37.69) β–² +67.70% (+118.96) β–² +190.34%
$29,034
Day
$288.60$298.22
52W
$122.80$298.22
Bollinger Bands
$243.09$264.39$285.70
Width: 16.1% – Above Upper
Implied Move Β±1.7%
$290.33$299.03
MACD: Bullish
Short: 2.2% (2.8d)
Volatility: 40.9%
Opt Dir: Neutral
Bias: Up
πŸš€ 36%
Confidence: HOLD
ATR: $8.32 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -11.4%
CTSH β†— (Y, F, Z, S) $84.59 1.9M β–² +3.63% (+2.96) β–² +0.53% (+0.45) β–² +4.79% (+3.87) β–² +25.87% (+17.38) β–² +1.92% (+1.59) β–² +13.24% (+9.89) β–² +48.74%
$14,874
Day
$81.21$84.82
52W
$64.70$89.37
Bollinger Bands
$80.66$83.71$86.75
Width: 7.3% – Inside
Implied Move Β±4.7%
$81.19$87.99
MACD: Bearish
Short: 7.5% (6.5d)
Volatility: 24.5%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.62 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +2.5%
PDD ↑ (Y, F, Z, S) $123.36 24.4M β–² +3.56% (+4.24) β–² +8.37% (+9.53) β–² +4.88% (+5.74) β–² +30.73% (+29.00) β–² +8.79% (+9.97) β–² +24.58% (+24.34) β–² +28.55%
$12,855
Day
$119.12$125.36
52W
$87.11$139.41
Bollinger Bands
$104.63$113.29$121.94
Width: 15.3% – Above Upper
Implied Move Β±3.1%
$120.10$126.62
MACD: Bullish
Short: 3.4% (4.0d)
Volatility: 30.2%
Opt Dir: Bearish
Bias: Down
πŸš€ 16%
Confidence: HOLD
ATR: $3.75 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +19.8%
KLAC ↑ (Y, F, Z, S) $1400.09 367.2K β–² +3.52% (+47.64) β–² +12.58% (+156.44) β–² +15.28% (+185.63) β–² +126.95% (+783.16) β–² +15.23% (+185.01) β–² +104.56% (+715.64) β–² +262.66%
$36,266
Day
$1369.25$1405.95
52W
$547.89$1406.97
Bollinger Bands
$1150.40$1252.75$1355.09
Width: 16.3% – Above Upper
Implied Move Β±6.4%
$1323.44$1476.74
MACD: Bullish
Short: 3.0% (4.6d)
Volatility: 40.0%
Opt Dir: Bearish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $41.78 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: -5.7%
PCAR β†— (Y, F, Z, S) $116.86 3.0M β–² +3.49% (+3.94) β–² +5.32% (+5.90) β–² +7.27% (+7.92) β–² +36.95% (+31.53) β–² +6.71% (+7.35) β–² +11.82% (+12.36) β–² +95.36%
$19,536
Day
$116.12$119.21
52W
$82.75$119.21
Bollinger Bands
$107.47$111.24$115.00
Width: 6.8% – Above Upper
Implied Move Β±17.8%
$99.18$134.54
MACD: Bearish
Short: 2.9% (5.0d)
Volatility: 25.9%
Opt Dir: Bullish
Bias: Up
πŸš€ 26%
Confidence: HOLD
ATR: $2.00 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -4.6%
MIDU ↑ (Y, F, Z, S) $56.67 70.8K β–² +3.37% (+1.85) β–² +8.09% (+4.24) β–² +9.57% (+4.95) β–² +90.17% (+26.87) β–² +11.64% (+5.91) β–² +5.15% (+2.77) β–² +55.74%
$15,574
Day
$54.25$56.67
52W
$25.11$61.03
Bollinger Bands
$49.83$53.01$56.20
Width: 12.0% – Above Upper
Implied Move Β±7.1%
$53.25$60.09
MACD: Bullish
Short: N/A (N/A)
Volatility: 45.9%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.63 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
XME ↑ (Y, F, Z, S) $114.74 2.3M β–² +3.31% (+3.68) β–² +9.56% (+10.01) β–² +15.18% (+15.12) β–² +115.99% (+61.62) β–² +10.74% (+11.13) β–² +98.02% (+56.80) β–² +122.03%
$22,203
Day
$112.53$115.20
52W
$45.72$115.22
Bollinger Bands
$96.12$104.60$113.07
Width: 16.2% – Above Upper
Implied Move Β±4.6%
$110.29$119.19
MACD: Bullish
Short: N/A (N/A)
Volatility: 40.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.79 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
AZN β†— (Y, F, Z, S) $94.15 3.9M β–² +3.21% (+2.93) β–² +1.77% (+1.64) β–² +4.40% (+3.97) β–² +41.71% (+27.71) β–² +2.41% (+2.22) β–² +43.86% (+28.71) β–² +41.69%
$14,169
Day
$92.48$95.23
52W
$60.82$95.27
Bollinger Bands
$89.31$91.52$93.73
Width: 4.8% – Above Upper
Implied Move Β±3.6%
$91.25$97.05
MACD: Bearish
Short: 0.3% (2.4d)
Volatility: 19.5%
Opt Dir: Bearish
Bias: Up
πŸš€ 16%
Confidence: HOLD
ATR: $1.35 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +5.1%
BIIB β†— (Y, F, Z, S) $180.11 621.2K β–² +3.14% (+5.48) β–² +2.10% (+3.71) β–Ό -0.66% (-1.19) β–² +54.61% (+63.62) β–² +2.34% (+4.12) β–² +17.51% (+26.84) β–Ό -35.50%
$6,450
Day
$174.30$182.37
52W
$110.04$185.17
Bollinger Bands
$170.16$175.46$180.76
Width: 6.0% – Inside
Implied Move Β±2.5%
$176.33$183.89
MACD: Bearish
Short: 5.8% (2.7d)
Volatility: 25.0%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $4.25 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +1.5%
PLTR β†˜ (Y, F, Z, S) $179.48 17.1M β–² +3.13% (+5.44) β–Ό -0.75% (-1.36) β–Ό -1.25% (-2.28) β–² +97.67% (+88.68) β–² +0.97% (+1.73) β–² +136.41% (+103.56) β–² +2704.37%
$280,437
Day
$175.00$180.19
52W
$63.40$207.52
Bollinger Bands
$170.14$184.24$198.35
Width: 15.3% – Inside
Implied Move Β±3.6%
$173.95$185.01
MACD: Bearish
Short: 2.1% (1.3d)
Volatility: 50.8%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $7.19 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +4.1%
SBUX ↑ (Y, F, Z, S) $89.26 5.3M β–² +3.13% (+2.71) β–² +4.71% (+4.01) β–² +4.87% (+4.14) β–² +12.97% (+10.25) β–² +6.00% (+5.06) β–Ό -1.61% (-1.46) β–Ό -10.02%
$8,998
Day
$86.36$89.65
52W
$73.95$115.04
Bollinger Bands
$81.68$85.38$89.08
Width: 8.7% – Above Upper
Implied Move Β±2.4%
$87.47$91.06
MACD: Bullish
Short: 4.2% (6.0d)
Volatility: 29.5%
Opt Dir: Bearish
Bias: Up
πŸš€ 16%
Confidence: HOLD
ATR: $2.12 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +5.4%
DXCM ↑ (Y, F, Z, S) $69.75 1.7M β–² +3.10% (+2.10) β–² +4.01% (+2.69) β–² +6.50% (+4.26) β–² +5.51% (+3.64) β–² +5.09% (+3.38) β–Ό -12.68% (-10.13) β–Ό -39.78%
$6,022
Day
$67.30$70.23
52W
$54.11$93.25
Bollinger Bands
$64.84$66.97$69.10
Width: 6.4% – Above Upper
Implied Move Β±1.4%
$68.93$70.57
MACD: Bullish
Short: 4.3% (3.8d)
Volatility: 43.3%
Opt Dir: Bearish
Bias: Down
πŸš€ 28%
Confidence: HOLD
ATR: $1.52 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +22.2%
RDDT ↑ (Y, F, Z, S) $251.59 2.2M β–² +3.09% (+7.54) β–² +7.81% (+18.23) β–² +7.47% (+17.48) β–² +167.22% (+157.44) β–² +9.45% (+21.72) β–² +40.17% (+72.10) β–² +398.79%
$49,879
Day
$242.24$252.55
52W
$79.75$282.95
Bollinger Bands
$216.90$232.49$248.08
Width: 13.4% – Above Upper
Implied Move Β±1.4%
$248.61$254.56
MACD: Bullish
Short: 16.7% (6.1d)
Volatility: 61.8%
Opt Dir: Bearish
Bias: Down
πŸš€ 23%
Confidence: HOLD
ATR: $10.15 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -2.1%
OPEN β†’ (Y, F, Z, S) $6.52 37.4M β–² +3.09% (+0.20) β–² +11.56% (+0.68) β–Ό -8.88% (-0.63) β–² +598.31% (+5.58) β–² +11.75% (+0.69) β–² +278.79% (+4.80) β–² +466.54%
$56,654
Day
$6.26$6.62
52W
$0.51$10.87
Bollinger Bands
$5.54$6.42$7.31
Width: 27.6% – Inside
Implied Move Β±6.8%
$6.14$6.89
MACD: Bullish
Short: 13.7% (2.5d)
Volatility: 98.9%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.34 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: -54.2%
SNOW β†— (Y, F, Z, S) $231.17 2.8M β–² +3.04% (+6.81) β–² +4.11% (+9.12) β–² +1.04% (+2.38) β–² +68.74% (+94.17) β–² +5.38% (+11.81) β–² +41.75% (+68.09) β–² +86.34%
$18,634
Day
$223.52$231.80
52W
$120.10$280.67
Bollinger Bands
$213.71$221.66$229.60
Width: 7.2% – Above Upper
Implied Move Β±3.2%
$224.90$237.44
MACD: Bullish
Short: 3.7% (3.9d)
Volatility: 40.7%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.32 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +22.6%
MELI ↑ (Y, F, Z, S) $2213.26 287.3K β–² +3.01% (+64.64) β–² +9.52% (+192.38) β–² +7.11% (+146.84) β–² +7.63% (+156.83) β–² +9.88% (+199.00) β–² +23.00% (+413.84) β–² +153.39%
$25,339
Day
$2147.42$2239.95
52W
$1723.90$2645.22
Bollinger Bands
$1876.75$2016.32$2155.89
Width: 13.8% – Above Upper
Implied Move Β±3.0%
$2157.50$2269.02
MACD: Bullish
Short: 1.6% (2.0d)
Volatility: 43.5%
Opt Dir: Neutral
Bias: Up
πŸš€ 28%
Confidence: HOLD
ATR: $62.84 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +27.7%
⏸️ ACN β†— (Y, F, Z, S) $271.87 1.6M β–² +2.99% (+7.89) β–² +0.69% (+1.87) β–² +1.98% (+5.28) β–Ό -2.15% (-5.97) β–² +1.33% (+3.57) β–Ό -21.51% (-74.51) β–² +5.73%
$10,573
Day
$262.99$272.17
52W
$229.40$394.41
Bollinger Bands
$263.35$270.04$276.73
Width: 5.0% – Inside
Implied Move Β±5.1%
$260.20$283.54
MACD: Bearish
Short: 2.1% (3.7d)
Volatility: 26.7%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $6.22 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +6.0%
ODFL ↑ (Y, F, Z, S) $168.48 670.0K β–² +2.90% (+4.75) β–² +5.75% (+9.17) β–² +8.59% (+13.33) β–² +13.04% (+19.44) β–² +7.45% (+11.68) β–Ό -7.11% (-12.89) β–² +13.95%
$11,395
Day
$163.62$168.99
52W
$125.76$208.11
Bollinger Bands
$150.53$158.31$166.09
Width: 9.8% – Above Upper
Implied Move Β±4.9%
$161.42$175.53
MACD: Bullish
Short: 7.6% (7.4d)
Volatility: 33.5%
Opt Dir: Bullish
Bias: Up
πŸš€ 27%
Confidence: HOLD
ATR: $3.64 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -6.1%
LABU β†˜ (Y, F, Z, S) $156.38 533.9K β–² +2.86% (+4.35) β–Ό -1.20% (-1.90) β–Ό -5.58% (-9.24) β–² +242.73% (+110.75) β–Ό -1.89% (-3.01) β–² +64.27% (+61.18) β–² +12.93%
$11,293
Day
$152.70$159.22
52W
$32.22$178.22
Bollinger Bands
$147.96$162.54$177.13
Width: 17.9% – Inside
Implied Move Β±7.3%
$146.74$166.03
MACD: Bearish
Short: N/A (N/A)
Volatility: 69.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $9.32 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
NBIS ↑ (Y, F, Z, S) $95.46 14.2M β–² +2.83% (+2.63) β–² +12.08% (+10.29) β–Ό -2.63% (-2.58) β–² +360.71% (+74.74) β–² +14.04% (+11.75) β–² +205.77% (+64.24) β–² +377.30%
$47,730
Day
$91.30$100.19
52W
$18.31$141.10
Bollinger Bands
$75.69$88.63$101.56
Width: 29.2% – Inside
Implied Move Β±7.9%
$89.04$101.88
MACD: Bullish
Short: 15.2% (3.8d)
Volatility: 88.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $5.87 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +58.7%
USD ↑ (Y, F, Z, S) $56.18 569.9K β–² +2.73% (+1.49) β–² +5.11% (+2.73) β–² +3.01% (+1.64) β–² +268.90% (+40.95) β–² +6.99% (+3.67) β–² +48.53% (+18.36) β–² +1177.61%
$127,761
Day
$55.36$57.25
52W
$12.51$64.79
Bollinger Bands
$46.19$52.82$59.45
Width: 25.1% – Inside
Implied Move Β±9.1%
$51.81$60.55
MACD: Bullish
Short: N/A (N/A)
Volatility: 68.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.37 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ MAR β†— (Y, F, Z, S) $319.48 842.1K β–² +2.72% (+8.45) β–² +1.76% (+5.54) β–² +9.19% (+26.89) β–² +49.23% (+105.40) β–² +2.98% (+9.24) β–² +18.33% (+49.50) β–² +114.66%
$21,466
Day
$309.94$319.67
52W
$203.87$319.67
Bollinger Bands
$285.94$306.82$327.69
Width: 13.6% – Inside
Implied Move Β±5.1%
$305.50$333.46
MACD: Bearish
Short: 3.4% (5.7d)
Volatility: 26.2%
Opt Dir: Neutral
Bias: Up
πŸš€ 29%
Confidence: HOLD
ATR: $5.36 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -7.1%
ELIL β†’ (Y, F, Z, S) $27.23 94.0K β–² +2.72% (+0.72) β–Ό -4.87% (-1.39) β–² +8.38% (+2.11) β–² +39.41% (+7.70) β–Ό -3.71% (-1.05) β–² +32.83% (+6.73) β–² +32.83%
$13,283
Day
$26.56$27.96
52W
$10.20$30.58
Bollinger Bands
$23.98$27.14$30.29
Width: 23.3% – Inside
Implied Move Β±3.9%
$26.34$28.12
MACD: Bearish
Short: N/A (N/A)
Volatility: 54.4%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.19 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ MDB β†— (Y, F, Z, S) $432.17 611.5K β–² +2.70% (+11.35) β–² +2.60% (+10.94) β–² +5.51% (+22.55) β–² +184.94% (+280.50) β–² +2.97% (+12.48) β–² +70.91% (+179.31) β–² +154.49%
$25,449
Day
$418.94$433.07
52W
$140.78$440.67
Bollinger Bands
$403.97$423.51$443.05
Width: 9.2% – Inside
Implied Move Β±8.5%
$400.81$463.54
MACD: Bearish
Short: 4.6% (3.0d)
Volatility: 56.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $13.17 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +2.8%
IDXX β†— (Y, F, Z, S) $700.29 130.8K β–² +2.65% (+18.07) β–² +2.63% (+17.97) β–Ό -1.93% (-13.80) β–² +72.21% (+293.64) β–² +3.51% (+23.76) β–² +63.18% (+271.13) β–² +56.40%
$15,640
Day
$675.90$701.47
52W
$356.14$769.98
Bollinger Bands
$672.19$693.32$714.45
Width: 6.1% – Inside
Implied Move Β±5.0%
$670.73$729.86
MACD: Bearish
Short: 3.4% (4.1d)
Volatility: 39.3%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $14.58 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +9.4%
SMH ↑ (Y, F, Z, S) $387.47 12.2M β–² +2.62% (+9.88) β–² +6.65% (+24.16) β–² +6.66% (+24.18) β–² +106.93% (+200.22) β–² +7.59% (+27.34) β–² +49.36% (+128.05) β–² +271.10%
$37,110
Day
$382.37$389.36
52W
$169.58$389.36
Bollinger Bands
$339.82$362.60$385.38
Width: 12.6% – Above Upper
Implied Move Β±2.5%
$379.18$395.76
MACD: Bullish
Short: N/A (N/A)
Volatility: 31.4%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $8.25 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ AVL ↓ (Y, F, Z, S) $44.45 537.3K β–² +2.54% (+1.10) β–Ό -1.31% (-0.59) β–Ό -22.57% (-12.95) β–² +263.87% (+32.23) β–² +0.82% (+0.36) β–² +49.61% (+14.74) β–² +117.74%
$21,774
Day
$42.00$44.57
52W
$8.83$65.16
Bollinger Bands
$31.70$47.54$63.39
Width: 66.7% – Inside
Implied Move Β±11.0%
$40.29$48.62
MACD: Bearish
Short: N/A (N/A)
Volatility: 104.3%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.72 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
GILD β†˜ (Y, F, Z, S) $121.28 3.2M β–² +2.52% (+2.98) β–Ό -1.54% (-1.90) β–² +0.71% (+0.86) β–² +18.66% (+19.08) β–Ό -1.19% (-1.46) β–² +36.66% (+32.53) β–² +53.02%
$15,302
Day
$118.61$121.60
52W
$86.16$127.86
Bollinger Bands
$117.27$121.95$126.62
Width: 7.7% – Inside
Implied Move Β±2.0%
$119.21$123.35
MACD: Bearish
Short: 1.8% (3.5d)
Volatility: 24.1%
Opt Dir: Bearish
Bias: Up
πŸš€ 96%
Confidence: HOLD
ATR: $2.55 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +9.2%
⏸️ TQQQ ↑ (Y, F, Z, S) $54.92 84.1M β–² +2.46% (+1.32) β–² +1.51% (+0.82) β–Ό -2.04% (-1.14) β–² +163.79% (+34.10) β–² +4.17% (+2.20) β–² +29.97% (+12.66) β–² +547.48%
$64,748
Day
$53.75$54.96
52W
$17.41$60.59
Bollinger Bands
$50.17$53.86$57.55
Width: 13.7% – Inside
Implied Move Β±3.6%
$53.23$56.61
MACD: Bullish
Short: N/A (N/A)
Volatility: 50.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.75 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ CRM β†— (Y, F, Z, S) $262.48 2.9M β–² +2.43% (+6.21) β–Ό -1.30% (-3.45) β–² +0.89% (+2.32) β–² +11.65% (+27.38) β–Ό -0.92% (-2.43) β–Ό -20.07% (-65.91) β–² +89.07%
$18,907
Day
$255.41$262.79
52W
$221.60$364.71
Bollinger Bands
$252.64$261.01$269.38
Width: 6.4% – Inside
Implied Move Β±2.4%
$257.04$267.91
MACD: Bearish
Short: 1.8% (2.6d)
Volatility: 33.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $5.39 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +25.5%
BYND ↓ (Y, F, Z, S) $0.91 50.5M β–² +2.31% (+0.02) β–² +7.51% (+0.06) β–Ό -25.36% (-0.31) β–Ό -65.90% (-1.76) β–² +11.05% (+0.09) β–Ό -76.71% (-3.00) β–Ό -93.40%
$660
Day
$0.88$0.96
52W
$0.50$7.69
Bollinger Bands
$0.76$1.02$1.28
Width: 51.2% – Inside
Implied Move Β±15.4%
$0.79$1.03
MACD: Bearish
Short: 27.4% (1.9d)
Volatility: 450.3%
Opt Dir: Bearish
Bias: Down
πŸš€ 6%
Confidence: HOLD
ATR: $0.10 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +76.8%
UNH ↑ (Y, F, Z, S) $349.87 5.8M β–² +2.30% (+7.85) β–² +5.33% (+17.71) β–² +6.44% (+21.17) β–Ό -16.07% (-67.01) β–² +5.99% (+19.76) β–Ό -30.21% (-151.45) β–Ό -24.58%
$7,542
Day
$345.12$352.48
52W
$231.57$594.32
Bollinger Bands
$318.02$332.28$346.53
Width: 8.6% – Above Upper
Implied Move Β±2.6%
$342.01$357.73
MACD: Bullish
Short: 1.6% (2.6d)
Volatility: 26.4%
Opt Dir: Bullish
Bias: Up
πŸš€ 28%
Confidence: HOLD
ATR: $7.60 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +12.3%
XRT β†— (Y, F, Z, S) $88.90 4.5M β–² +2.26% (+1.96) β–² +3.41% (+2.93) β–² +3.31% (+2.85) β–² +36.27% (+23.67) β–² +4.24% (+3.61) β–² +12.10% (+9.60) β–² +47.42%
$14,742
Day
$86.75$88.93
52W
$60.97$89.13
Bollinger Bands
$85.19$87.00$88.81
Width: 4.2% – Above Upper
Implied Move Β±3.5%
$86.23$91.58
MACD: Bearish
Short: N/A (N/A)
Volatility: 21.6%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.14 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
EDC ↑ (Y, F, Z, S) $62.22 234.9K β–² +2.18% (+1.33) β–² +13.00% (+7.16) β–² +17.92% (+9.45) β–² +141.79% (+36.48) β–² +14.03% (+7.66) β–² +115.52% (+33.35) β–² +97.83%
$19,783
Day
$61.97$62.78
52W
$19.88$62.73
Bollinger Bands
$46.76$53.75$60.73
Width: 26.0% – Above Upper
Implied Move Β±39.5%
$41.32$83.11
MACD: Bullish
Short: N/A (N/A)
Volatility: 44.3%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.66 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ SPYU ↑ (Y, F, Z, S) $57.80 2.0M β–² +2.17% (+1.23) β–² +2.14% (+1.21) β–² +1.99% (+1.13) β–² +160.01% (+35.57) β–² +5.40% (+2.96) β–² +16.82% (+8.32) β–² +444.26%
$54,426
Day
$56.62$57.83
52W
$18.15$60.42
Bollinger Bands
$52.46$55.84$59.22
Width: 12.1% – Inside
MACD: Bullish
Short: N/A (N/A)
Volatility: 46.1%
Opt Dir: Neutral
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.67 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
SHW ↑ (Y, F, Z, S) $339.14 722.8K β–² +2.09% (+6.94) β–² +3.98% (+12.98) β–² +1.81% (+6.03) β–² +5.93% (+18.99) β–² +4.66% (+15.11) β–² +1.29% (+4.30) β–² +47.78%
$14,778
Day
$329.15$340.11
52W
$306.78$378.76
Bollinger Bands
$318.89$326.82$334.74
Width: 4.8% – Above Upper
Implied Move Β±2.7%
$331.45$346.83
MACD: Bullish
Short: 1.6% (2.6d)
Volatility: 21.3%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ 22%
Confidence: HOLD
ATR: $6.09 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +13.8%
AMGN β†˜ (Y, F, Z, S) $327.40 900.3K β–² +2.08% (+6.68) β–Ό -0.39% (-1.29) β–Ό -0.75% (-2.49) β–² +22.53% (+60.21) β–² +0.03% (+0.09) β–² +30.73% (+76.96) β–² +30.94%
$13,094
Day
$318.84$327.71
52W
$248.95$346.38
Bollinger Bands
$313.66$325.33$337.00
Width: 7.2% – Inside
Implied Move Β±1.8%
$322.38$332.41
MACD: Bearish
Short: 2.6% (5.1d)
Volatility: 27.0%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $5.24 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +0.1%
AMC ↓ (Y, F, Z, S) $1.56 21.1M β–² +2.05% (+0.03) β–Ό -3.02% (-0.05) β–Ό -31.22% (-0.71) β–Ό -41.96% (-1.13) β–² +0.09% (+0.00) β–Ό -61.54% (-2.50) β–Ό -95.94%
$406
Day
$1.54$1.62
52W
$1.50$4.13
Bollinger Bands
$1.31$1.83$2.35
Width: 56.6% – Inside
Implied Move Β±9.0%
$1.44$1.68
MACD: Bearish
Short: 9.9% (1.7d)
Volatility: 46.6%
Opt Dir: Bearish
Bias: Down
πŸš€ 1%
Confidence: HOLD
ATR: $0.09 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +105.6%
SNPS ↑ (Y, F, Z, S) $504.22 930.7K β–² +2.03% (+10.03) β–² +6.27% (+29.73) β–² +8.03% (+37.46) β–² +25.32% (+101.86) β–² +7.34% (+34.50) β–² +0.63% (+3.16) β–² +57.30%
$15,730
Day
$494.98$507.99
52W
$365.74$651.73
Bollinger Bands
$445.85$472.11$498.37
Width: 11.1% – Above Upper
Implied Move Β±3.2%
$490.62$517.82
MACD: Bullish
Short: 2.3% (2.8d)
Volatility: 33.2%
Opt Dir: Bearish
Bias: Down
πŸš€ 23%
Confidence: HOLD
ATR: $12.68 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +10.4%
ETN β†— (Y, F, Z, S) $328.73 1.8M β–² +2.01% (+6.46) β–² +2.45% (+7.87) β–Ό -2.65% (-8.93) β–² +27.50% (+70.91) β–² +3.21% (+10.21) β–Ό -4.74% (-16.35) β–² +112.45%
$21,245
Day
$315.76$329.24
52W
$230.37$398.40
Bollinger Bands
$305.74$328.09$350.44
Width: 13.6% – Inside
Implied Move Β±3.1%
$320.14$337.31
MACD: Bullish
Short: 1.8% (2.8d)
Volatility: 31.5%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $7.10 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +21.4%
⏸️ TNA β†— (Y, F, Z, S) $50.12 6.8M β–² +1.98% (+0.97) β–² +7.54% (+3.51) β–² +4.21% (+2.02) β–² +138.63% (+29.12) β–² +10.07% (+4.58) β–² +15.47% (+6.72) β–² +55.41%
$15,541
Day
$48.44$50.15
52W
$17.89$52.39
Bollinger Bands
$45.35$48.50$51.65
Width: 13.0% – Inside
Implied Move Β±4.5%
$48.21$52.04
MACD: Bearish
Short: N/A (N/A)
Volatility: 59.1%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.79 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ FNGU ↓ (Y, F, Z, S) $24.98 2.6M β–² +1.96% (+0.48) β–Ό -3.52% (-0.91) β–Ό -16.15% (-4.81) β–² +146.34% (+14.84) β–Ό -1.11% (-0.28) β–² +3.08% (+0.75) β–² +3.08%
$10,308
Day
$24.27$25.00
52W
$7.95$34.14
Bollinger Bands
$22.65$26.39$30.13
Width: 28.3% – Inside
MACD: Bearish
Short: N/A (N/A)
Volatility: 58.4%
Opt Dir: Neutral
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.93 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ PANW β†˜ (Y, F, Z, S) $185.68 2.1M β–² +1.95% (+3.56) β–Ό -0.63% (-1.17) β–Ό -6.62% (-13.16) β–² +16.01% (+25.63) β–² +0.80% (+1.48) β–² +3.44% (+6.18) β–² +175.39%
$27,539
Day
$181.71$185.80
52W
$144.15$223.61
Bollinger Bands
$179.56$187.64$195.73
Width: 8.6% – Inside
Implied Move Β±2.2%
$182.19$189.16
MACD: Bullish
Short: 6.5% (8.3d)
Volatility: 27.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $3.74 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +22.8%
⏸️ MA β†— (Y, F, Z, S) $579.60 1.5M β–² +1.94% (+11.03) β–² +0.38% (+2.18) β–² +6.25% (+34.08) β–² +14.10% (+71.64) β–² +1.53% (+8.72) β–² +13.87% (+70.60) β–² +60.18%
$16,018
Day
$567.94$581.01
52W
$463.61$600.98
Bollinger Bands
$540.50$566.99$593.48
Width: 9.3% – Inside
Implied Move Β±2.2%
$568.57$590.64
MACD: Bearish
Short: 0.8% (2.7d)
Volatility: 19.6%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $7.95 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +13.5%
WEBL β†— (Y, F, Z, S) $27.88 364.4K β–² +1.90% (+0.52) β–Ό -0.57% (-0.16) β–Ό -2.86% (-0.82) β–² +97.78% (+13.78) β–² +1.90% (+0.52) β–Ό -2.96% (-0.85) β–² +385.37%
$48,537
Day
$27.14$27.88
52W
$11.65$35.24
Bollinger Bands
$26.19$27.79$29.38
Width: 11.5% – Inside
Implied Move Β±7.4%
$26.14$29.62
MACD: Bullish
Short: N/A (N/A)
Volatility: 53.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.95 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
GEHC β†— (Y, F, Z, S) $86.62 1.2M β–² +1.86% (+1.58) β–² +3.95% (+3.29) β–² +1.36% (+1.17) β–² +43.43% (+26.23) β–² +5.61% (+4.61) β–² +6.20% (+5.06) β–² +47.61%
$14,761
Day
$84.48$87.24
52W
$57.57$94.66
Bollinger Bands
$81.19$83.62$86.05
Width: 5.8% – Above Upper
Implied Move Β±0.8%
$86.05$87.20
MACD: Bearish
Short: 3.4% (4.9d)
Volatility: 26.6%
Opt Dir: Bearish
Bias: Up
πŸš€ 34%
Confidence: HOLD
ATR: $1.51 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +5.0%
DDM ↑ (Y, F, Z, S) $60.10 1.9M β–² +1.86% (+1.10) β–² +4.39% (+2.53) β–² +5.98% (+3.39) β–² +62.79% (+23.18) β–² +5.69% (+3.24) β–² +26.59% (+12.62) β–² +87.42%
$18,742
Day
$58.87$60.12
52W
$34.27$60.12
Bollinger Bands
$55.60$57.61$59.61
Width: 7.0% – Above Upper
Implied Move Β±2.8%
$58.65$61.54
MACD: Bullish
Short: N/A (N/A)
Volatility: 22.8%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.99 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
XLB ↑ (Y, F, Z, S) $47.44 9.6M β–² +1.84% (+0.85) β–² +3.73% (+1.71) β–² +8.14% (+3.57) β–² +21.10% (+8.27) β–² +4.60% (+2.09) β–² +15.53% (+6.38) β–² +25.18%
$12,518
Day
$46.72$47.53
52W
$36.02$47.53
Bollinger Bands
$43.21$45.26$47.31
Width: 9.1% – Above Upper
Implied Move Β±0.3%
$47.31$47.56
MACD: Bullish
Short: N/A (N/A)
Volatility: 15.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.50 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
AIBU β†— (Y, F, Z, S) $51.42 9.5K β–² +1.83% (+0.92) β–² +2.23% (+1.12) β–Ό -5.70% (-3.11) β–² +143.20% (+30.28) β–² +4.15% (+2.05) β–² +39.70% (+14.61) β–² +104.98%
$20,498
Day
$50.79$51.42
52W
$18.29$64.16
Bollinger Bands
$45.93$50.77$55.61
Width: 19.1% – Inside
Implied Move Β±8.7%
$47.60$55.24
MACD: Bullish
Short: N/A (N/A)
Volatility: 51.4%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.59 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
DASH β†— (Y, F, Z, S) $230.74 2.0M β–² +1.78% (+4.02) β–² +1.15% (+2.61) β–² +2.55% (+5.74) β–² +34.29% (+58.92) β–² +1.88% (+4.26) β–² +31.84% (+55.72) β–² +380.72%
$48,072
Day
$226.27$231.74
52W
$155.40$285.50
Bollinger Bands
$219.29$228.28$237.27
Width: 7.9% – Inside
Implied Move Β±3.9%
$223.09$238.39
MACD: Bearish
Short: 3.3% (3.9d)
Volatility: 54.5%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.39 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +19.8%
DOW ↑ (Y, F, Z, S) $25.33 5.5M β–² +1.75% (+0.43) β–² +7.76% (+1.82) β–² +10.34% (+2.38) β–Ό -4.93% (-1.31) β–² +8.36% (+1.95) β–Ό -31.50% (-11.65) β–Ό -44.96%
$5,504
Day
$24.68$25.67
52W
$19.82$39.24
Bollinger Bands
$22.13$23.61$25.09
Width: 12.5% – Above Upper
Implied Move Β±3.3%
$24.63$26.04
MACD: Bullish
Short: 4.8% (3.1d)
Volatility: 45.1%
Opt Dir: Bearish
Bias: Up
πŸš€ 52%
Confidence: HOLD
ATR: $0.62 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +9.1%
NVO ↑ (Y, F, Z, S) $56.06 24.7M β–² +1.73% (+0.95) β–² +9.46% (+4.84) β–² +17.14% (+8.20) β–Ό -2.80% (-1.62) β–² +10.19% (+5.18) β–Ό -32.25% (-26.68) β–Ό -14.90%
$8,510
Day
$56.02$58.15
52W
$43.08$91.28
Bollinger Bands
$45.15$50.36$55.58
Width: 20.7% – Above Upper
Implied Move Β±3.2%
$54.56$57.57
MACD: Bullish
Short: 0.9% (1.4d)
Volatility: 40.9%
Opt Dir: Bullish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $1.73 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -5.4%
COST ↑ (Y, F, Z, S) $890.70 1.0M β–² +1.71% (+14.96) β–² +2.89% (+25.05) β–Ό -0.44% (-3.98) β–Ό -6.62% (-63.15) β–² +3.29% (+28.36) β–Ό -2.97% (-27.22) β–² +92.19%
$19,219
Day
$872.20$892.49
52W
$844.06$1073.82
Bollinger Bands
$843.61$869.15$894.68
Width: 5.9% – Inside
Implied Move Β±2.1%
$875.06$906.34
MACD: Bullish
Short: 1.5% (2.4d)
Volatility: 18.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $12.42 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +16.0%
IBM β†˜ (Y, F, Z, S) $299.98 1.7M β–² +1.70% (+5.01) β–Ό -0.69% (-2.07) β–Ό -2.59% (-7.96) β–² +29.41% (+68.17) β–² +1.27% (+3.77) β–² +38.20% (+82.91) β–² +132.91%
$23,291
Day
$295.05$300.35
52W
$209.20$324.90
Bollinger Bands
$292.68$303.78$314.88
Width: 7.3% – Inside
Implied Move Β±1.9%
$295.03$304.92
MACD: Bearish
Short: 2.4% (5.0d)
Volatility: 26.6%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $5.79 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -0.5%
XLV β†— (Y, F, Z, S) $157.67 11.2M β–² +1.70% (+2.63) β–² +1.28% (+1.99) β–² +3.32% (+5.06) β–² +20.56% (+26.89) β–² +1.85% (+2.87) β–² +15.41% (+21.05) β–² +22.14%
$12,214
Day
$155.63$158.30
52W
$125.63$158.30
Bollinger Bands
$150.19$154.21$158.22
Width: 5.2% – Inside
Implied Move Β±1.6%
$155.53$159.81
MACD: Bearish
Short: N/A (N/A)
Volatility: 12.9%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.59 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ UPRO ↑ (Y, F, Z, S) $120.57 2.6M β–² +1.67% (+1.98) β–² +1.80% (+2.13) β–² +2.44% (+2.88) β–² +124.36% (+66.83) β–² +4.16% (+4.81) β–² +31.34% (+28.77) β–² +264.19%
$36,419
Day
$118.61$120.61
52W
$45.54$121.84
Bollinger Bands
$111.42$116.94$122.45
Width: 9.4% – Inside
Implied Move Β±2.8%
$117.68$123.46
MACD: Bullish
Short: N/A (N/A)
Volatility: 34.9%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.70 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ SPXL ↑ (Y, F, Z, S) $229.77 1.3M β–² +1.66% (+3.74) β–² +1.83% (+4.13) β–² +2.41% (+5.41) β–² +124.87% (+127.59) β–² +4.15% (+9.16) β–² +31.37% (+54.87) β–² +266.14%
$36,614
Day
$226.03$229.85
52W
$86.59$232.01
Bollinger Bands
$212.24$222.84$233.44
Width: 9.5% – Inside
Implied Move Β±2.6%
$224.67$234.87
MACD: Bullish
Short: N/A (N/A)
Volatility: 35.0%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $5.16 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
BNKU ↑ (Y, F, Z, S) $39.06 56.3K β–² +1.64% (+0.63) β–² +12.76% (+4.42) β–² +26.37% (+8.15) β–² +256.35% (+28.10) β–² +15.26% (+5.17) β–² +68.32% (+15.85) β–² +68.32%
$16,832
Day
$37.99$39.21
52W
$8.51$39.33
Bollinger Bands
$30.19$34.47$38.75
Width: 24.8% – Above Upper
MACD: Bullish
Short: N/A (N/A)
Volatility: 52.5%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.59 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
QTUM ↑ (Y, F, Z, S) $116.48 458.9K β–² +1.59% (+1.82) β–² +5.21% (+5.77) β–² +3.28% (+3.70) β–² +70.40% (+48.12) β–² +6.22% (+6.82) β–² +37.85% (+31.98) β–² +196.44%
$29,644
Day
$115.57$116.50
52W
$62.13$116.50
Bollinger Bands
$106.83$111.70$116.57
Width: 8.7% – Inside
Implied Move Β±1.7%
$114.78$118.18
MACD: Bullish
Short: N/A (N/A)
Volatility: 28.5%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.93 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
QQQE ↑ (Y, F, Z, S) $104.99 213.9K β–² +1.56% (+1.61) β–² +1.69% (+1.74) β–² +1.05% (+1.09) β–² +30.66% (+24.64) β–² +2.62% (+2.68) β–² +14.86% (+13.58) β–² +64.69%
$16,469
Day
$103.62$104.99
52W
$74.72$105.19
Bollinger Bands
$101.62$103.25$104.88
Width: 3.2% – Above Upper
Implied Move Β±3.3%
$102.02$107.97
MACD: Bullish
Short: N/A (N/A)
Volatility: 13.9%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.00 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ INTU ↓ (Y, F, Z, S) $643.58 1.0M β–² +1.54% (+9.74) β–Ό -3.93% (-26.30) β–Ό -4.46% (-30.05) β–² +13.50% (+76.54) β–Ό -2.84% (-18.84) β–² +3.63% (+22.52) β–² +69.84%
$16,984
Day
$629.72$649.10
52W
$530.03$812.22
Bollinger Bands
$635.22$663.02$690.82
Width: 8.4% – Inside
Implied Move Β±1.9%
$632.96$654.21
MACD: Bearish
Short: 1.9% (3.1d)
Volatility: 25.8%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $13.92 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +24.9%
⏸️ CVNA β†’ (Y, F, Z, S) $436.58 1.5M β–² +1.52% (+6.52) β–² +1.64% (+7.03) β–² +9.21% (+36.81) β–² +122.94% (+240.75) β–² +3.45% (+14.56) β–² +131.18% (+247.73) β–² +9799.77%
$989,977
Day
$427.80$439.34
52W
$148.25$485.33
Bollinger Bands
$409.42$443.43$477.44
Width: 15.3% – Inside
Implied Move Β±1.7%
$430.25$442.91
MACD: Bearish
Short: 11.5% (2.4d)
Volatility: 67.9%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $17.63 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +2.3%
FNGO ↓ (Y, F, Z, S) $115.91 15.3K β–² +1.51% (+1.72) β–Ό -1.73% (-2.04) β–Ό -10.43% (-13.50) β–² +98.00% (+57.37) β–Ό -0.53% (-0.62) β–² +17.33% (+17.12) β–² +766.88%
$86,688
Day
$113.39$115.91
52W
$48.67$140.87
Bollinger Bands
$109.01$119.80$130.60
Width: 18.0% – Inside
MACD: Bearish
Short: N/A (N/A)
Volatility: 39.4%
Opt Dir: Neutral
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.66 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
ABT ↑ (Y, F, Z, S) $128.33 3.3M β–² +1.49% (+1.88) β–² +2.03% (+2.55) β–² +2.60% (+3.25) β–Ό -0.31% (-0.40) β–² +2.43% (+3.04) β–² +15.68% (+17.39) β–² +21.11%
$12,111
Day
$126.55$129.46
52W
$109.37$139.33
Bollinger Bands
$121.35$125.06$128.77
Width: 5.9% – Inside
Implied Move Β±1.6%
$126.62$130.05
MACD: Bullish
Short: 0.9% (2.9d)
Volatility: 19.1%
Opt Dir: Bearish
Bias: Up
πŸš€ 17%
Confidence: HOLD
ATR: $1.98 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +12.8%
⏸️ AXP β†— (Y, F, Z, S) $385.42 942.4K β–² +1.48% (+5.62) β–² +3.45% (+12.86) β–² +4.30% (+15.89) β–² +60.09% (+144.67) β–² +4.41% (+16.29) β–² +29.03% (+86.72) β–² +166.08%
$26,608
Day
$376.20$385.71
52W
$218.83$386.63
Bollinger Bands
$363.52$376.49$389.46
Width: 6.9% – Inside
Implied Move Β±1.9%
$379.27$391.57
MACD: Bearish
Short: 1.8% (4.2d)
Volatility: 26.4%
Opt Dir: Bullish
Bias: Up
πŸš€ 1%
Confidence: HOLD
ATR: $6.01 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: -5.4%
⏸️ WMT β†— (Y, F, Z, S) $114.38 9.5M β–² +1.48% (+1.67) β–² +2.20% (+2.46) β–Ό -0.43% (-0.50) β–² +24.61% (+22.59) β–² +2.66% (+2.97) β–² +26.30% (+23.81) β–² +142.48%
$24,248
Day
$111.99$114.71
52W
$79.27$117.45
Bollinger Bands
$110.06$113.64$117.21
Width: 6.3% – Inside
Implied Move Β±2.0%
$112.43$116.32
MACD: Bearish
Short: 0.7% (3.2d)
Volatility: 24.2%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.55 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +6.3%
FAS ↑ (Y, F, Z, S) $183.25 641.6K β–² +1.41% (+2.54) β–² +6.39% (+11.01) β–² +16.01% (+25.28) β–² +72.96% (+77.30) β–² +8.86% (+14.92) β–² +31.89% (+44.31) β–² +154.33%
$25,433
Day
$179.48$183.36
52W
$85.28$184.20
Bollinger Bands
$154.82$169.72$184.62
Width: 17.6% – Inside
Implied Move Β±1.8%
$180.50$186.00
MACD: Bullish
Short: N/A (N/A)
Volatility: 42.1%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $5.33 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
CAT ↑ (Y, F, Z, S) $624.65 1.4M β–² +1.39% (+8.55) β–² +8.19% (+47.26) β–² +3.56% (+21.48) β–² +120.81% (+341.76) β–² +9.04% (+51.78) β–² +74.10% (+265.87) β–² +164.18%
$26,418
Day
$608.90$625.52
52W
$264.29$627.50
Bollinger Bands
$554.09$590.60$627.10
Width: 12.4% – Inside
Implied Move Β±1.2%
$618.13$631.17
MACD: Bullish
Short: 1.5% (3.2d)
Volatility: 38.5%
Opt Dir: Bullish
Bias: Up
πŸš€ 13%
Confidence: HOLD
ATR: $13.76 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -3.1%
⏸️ PAYX ↓ (Y, F, Z, S) $110.99 813.7K β–² +1.38% (+1.51) β–Ό -2.12% (-2.40) β–Ό -0.95% (-1.07) β–Ό -19.00% (-26.03) β–Ό -1.06% (-1.19) β–Ό -15.87% (-20.93) β–² +3.49%
$10,349
Day
$108.47$111.22
52W
$107.80$158.49
Bollinger Bands
$109.36$113.42$117.47
Width: 7.2% – Inside
Implied Move Β±3.6%
$107.59$114.39
MACD: Bearish
Short: 4.6% (4.6d)
Volatility: 21.8%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.32 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +10.0%
GE ↑ (Y, F, Z, S) $328.73 1.6M β–² +1.36% (+4.41) β–² +5.43% (+16.94) β–² +15.91% (+45.11) β–² +85.02% (+151.06) β–² +6.72% (+20.70) β–² +91.71% (+157.26) β–² +481.37%
$58,137
Day
$321.46$328.73
52W
$158.75$329.43
Bollinger Bands
$278.37$305.38$332.40
Width: 17.7% – Inside
Implied Move Β±0.9%
$326.30$331.16
MACD: Bullish
Short: 1.4% (3.6d)
Volatility: 26.2%
Opt Dir: Bullish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $6.49 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +5.5%
⏸️ REGN β†— (Y, F, Z, S) $773.59 446.6K β–² +1.36% (+10.36) β–Ό -0.05% (-0.35) β–² +7.69% (+55.23) β–² +38.36% (+214.47) β–² +0.22% (+1.72) β–² +8.60% (+61.28) β–² +5.52%
$10,552
Day
$770.64$785.41
52W
$475.17$792.77
Bollinger Bands
$704.61$757.41$810.21
Width: 13.9% – Inside
Implied Move Β±2.8%
$755.48$791.69
MACD: Bearish
Short: 2.8% (3.8d)
Volatility: 37.0%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $15.14 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +3.1%
HD β†— (Y, F, Z, S) $348.71 2.3M β–² +1.34% (+4.62) β–² +0.68% (+2.36) β–Ό -1.66% (-5.89) β–² +2.38% (+8.11) β–² +1.34% (+4.61) β–Ό -8.21% (-31.18) β–² +18.52%
$11,852
Day
$337.71$349.26
52W
$320.39$424.01
Bollinger Bands
$339.72$349.74$359.76
Width: 5.7% – Inside
Implied Move Β±1.9%
$343.15$354.28
MACD: Bullish
Short: 1.0% (2.5d)
Volatility: 23.9%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.44 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +13.0%
LLY β†’ (Y, F, Z, S) $1055.39 1.5M β–² +1.33% (+13.88) β–Ό -2.26% (-24.36) β–² +4.46% (+45.08) β–² +29.76% (+242.03) β–Ό -1.79% (-19.29) β–² +38.97% (+295.95) β–² +197.78%
$29,778
Day
$1039.93$1070.83
52W
$621.50$1111.99
Bollinger Bands
$986.57$1050.51$1114.45
Width: 12.2% – Inside
Implied Move Β±2.5%
$1032.53$1078.26
MACD: Bearish
Short: 0.8% (2.8d)
Volatility: 27.1%
Opt Dir: Bullish
Bias: Up
πŸš€ 85%
Confidence: HOLD
ATR: $23.76 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +4.0%
SHLD ↑ (Y, F, Z, S) $70.86 993.7K β–² +1.32% (+0.93) β–² +8.54% (+5.58) β–² +13.18% (+8.25) β–² +42.59% (+21.16) β–² +9.36% (+6.07) β–² +90.21% (+33.60) β–² +188.58%
$28,858
Day
$70.33$70.94
52W
$36.41$71.28
Bollinger Bands
$61.28$65.34$69.40
Width: 12.4% – Above Upper
Implied Move Β±2.8%
$69.20$72.51
MACD: Bullish
Short: N/A (N/A)
Volatility: 22.9%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.13 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ AVGO ↓ (Y, F, Z, S) $347.95 14.1M β–² +1.32% (+4.53) β–Ό -0.54% (-1.90) β–Ό -10.67% (-41.54) β–² +110.60% (+182.73) β–² +0.53% (+1.85) β–² +48.51% (+113.66) β–² +518.46%
$61,846
Day
$338.00$348.63
52W
$137.28$413.82
Bollinger Bands
$303.91$356.72$409.53
Width: 29.6% – Inside
Implied Move Β±3.1%
$338.64$357.26
MACD: Bearish
Short: 1.7% (2.0d)
Volatility: 52.0%
Opt Dir: Bearish
Bias: Down
πŸš€ 10%
Confidence: HOLD
ATR: $11.06 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +31.4%
ROST β†— (Y, F, Z, S) $189.06 1.5M β–² +1.27% (+2.38) β–² +4.19% (+7.61) β–² +6.53% (+11.59) β–² +40.63% (+54.62) β–² +4.95% (+8.92) β–² +23.37% (+35.81) β–² +60.68%
$16,068
Day
$185.43$189.58
52W
$121.41$189.58
Bollinger Bands
$176.78$182.06$187.34
Width: 5.8% – Above Upper
Implied Move Β±0.8%
$187.83$190.29
MACD: Bearish
Short: 2.2% (3.2d)
Volatility: 23.5%
Opt Dir: Bearish
Bias: Up
πŸš€ 28%
Confidence: HOLD
ATR: $2.67 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: -1.5%
⏸️ XLK ↑ (Y, F, Z, S) $146.43 10.4M β–² +1.26% (+1.82) β–² +0.70% (+1.02) β–² +0.04% (+0.06) β–² +56.58% (+52.91) β–² +1.71% (+2.46) β–² +23.43% (+27.80) β–² +139.95%
$23,995
Day
$144.63$146.51
52W
$85.84$152.76
Bollinger Bands
$140.16$144.94$149.72
Width: 6.6% – Inside
Implied Move Β±1.5%
$144.53$148.34
MACD: Bullish
Short: N/A (N/A)
Volatility: 20.6%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.96 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
HON ↑ (Y, F, Z, S) $203.54 1.2M β–² +1.22% (+2.45) β–² +3.66% (+7.18) β–² +6.38% (+12.21) β–² +13.01% (+23.43) β–² +4.33% (+8.45) β–Ό -0.48% (-0.99) β–² +9.55%
$10,955
Day
$200.51$203.70
52W
$166.32$225.29
Bollinger Bands
$190.05$196.47$202.88
Width: 6.5% – Above Upper
Implied Move Β±1.5%
$200.91$206.17
MACD: Bullish
Short: 1.5% (3.0d)
Volatility: 23.4%
Opt Dir: Bearish
Bias: Down
πŸš€ 28%
Confidence: HOLD
ATR: $3.06 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +15.7%
⏸️ MSFU ↓ (Y, F, Z, S) $40.07 1.1M β–² +1.19% (+0.47) β–Ό -4.98% (-2.10) β–Ό -4.26% (-1.78) β–² +60.12% (+15.04) β–Ό -3.33% (-1.38) β–² +6.41% (+2.41) β–² +134.30%
$23,430
Day
$39.08$40.12
52W
$23.38$57.52
Bollinger Bands
$39.18$41.40$43.61
Width: 10.7% – Inside
Implied Move Β±14.6%
$35.10$45.04
MACD: Bearish
Short: N/A (N/A)
Volatility: 38.1%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.03 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
MRK ↑ (Y, F, Z, S) $108.69 7.3M β–² +1.16% (+1.25) β–² +2.48% (+2.63) β–² +9.93% (+9.82) β–² +43.62% (+33.01) β–² +3.26% (+3.43) β–² +13.09% (+12.58) β–² +3.71%
$10,371
Day
$107.89$110.17
52W
$71.26$110.17
Bollinger Bands
$94.35$102.58$110.80
Width: 16.0% – Inside
Implied Move Β±1.9%
$106.92$110.46
MACD: Bullish
Short: 1.7% (2.7d)
Volatility: 26.4%
Opt Dir: Bullish
Bias: Up
πŸš€ 36%
Confidence: HOLD
ATR: $2.13 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +1.2%
FNGG ↓ (Y, F, Z, S) $204.00 4.3K β–² +1.15% (+2.31) β–Ό -2.62% (-5.49) β–Ό -10.68% (-24.39) β–² +96.89% (+100.39) β–Ό -1.11% (-2.28) β–² +17.97% (+31.07) β–² +722.94%
$82,294
Day
$200.95$204.00
52W
$87.30$248.19
Bollinger Bands
$192.34$211.30$230.25
Width: 17.9% – Inside
Implied Move Β±18.2%
$172.46$235.54
MACD: Bearish
Short: N/A (N/A)
Volatility: 39.6%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.63 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
TSM ↑ (Y, F, Z, S) $325.93 10.7M β–² +1.14% (+3.68) β–² +8.80% (+26.36) β–² +10.89% (+32.01) β–² +122.54% (+179.47) β–² +7.25% (+22.04) β–² +50.14% (+108.85) β–² +337.45%
$43,745
Day
$325.03$333.08
52W
$132.98$333.08
Bollinger Bands
$274.72$299.96$325.19
Width: 16.8% – Above Upper
Implied Move Β±3.2%
$317.18$334.69
MACD: Bullish
Short: 0.5% (2.8d)
Volatility: 33.2%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ 58%
Confidence: HOLD
ATR: $8.24 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +9.2%
ADP β†˜ (Y, F, Z, S) $260.26 842.4K β–² +1.14% (+2.94) β–² +0.28% (+0.73) β–² +0.12% (+0.31) β–Ό -7.10% (-19.90) β–² +1.18% (+3.03) β–Ό -7.35% (-20.64) β–² +15.78%
$11,578
Day
$255.47$260.59
52W
$245.59$324.50
Bollinger Bands
$252.91$259.62$266.32
Width: 5.2% – Inside
Implied Move Β±1.8%
$256.33$264.19
MACD: Bearish
Short: 2.1% (3.4d)
Volatility: 20.5%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.12 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +11.2%
⏸️ FTNT ↓ (Y, F, Z, S) $78.82 2.2M β–² +1.13% (+0.88) β–Ό -1.86% (-1.49) β–Ό -9.32% (-8.10) β–Ό -14.99% (-13.90) β–Ό -0.74% (-0.59) β–Ό -19.52% (-19.12) β–² +61.88%
$16,188
Day
$77.65$79.20
52W
$70.12$114.82
Bollinger Bands
$77.56$80.85$84.14
Width: 8.1% – Inside
Implied Move Β±2.5%
$77.14$80.50
MACD: Bearish
Short: 3.8% (4.2d)
Volatility: 26.7%
Opt Dir: Bullish
Bias: Up
πŸš€ 12%
Confidence: HOLD
ATR: $1.66 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +10.6%
CTAS ↓ (Y, F, Z, S) $187.55 424.4K β–² +1.13% (+2.09) β–Ό -1.47% (-2.80) β–² +0.43% (+0.80) β–Ό -5.83% (-11.61) β–Ό -0.28% (-0.52) β–² +2.15% (+3.95) β–² +74.30%
$17,430
Day
$184.28$187.91
52W
$179.96$228.23
Bollinger Bands
$182.75$188.06$193.38
Width: 5.7% – Inside
Implied Move Β±1.7%
$184.76$190.34
MACD: Bearish
Short: 2.4% (4.2d)
Volatility: 18.0%
Opt Dir: Bearish
Bias: Down
πŸš€ 2%
Confidence: HOLD
ATR: $3.46 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +14.4%
XLI ↑ (Y, F, Z, S) $161.64 8.4M β–² +1.12% (+1.79) β–² +3.34% (+5.22) β–² +4.93% (+7.59) β–² +33.37% (+40.44) β–² +4.20% (+6.52) β–² +23.73% (+31.01) β–² +67.73%
$16,773
Day
$159.18$161.65
52W
$111.56$161.65
Bollinger Bands
$152.05$156.32$160.60
Width: 5.5% – Above Upper
Implied Move Β±0.2%
$161.34$161.94
MACD: Bullish
Short: N/A (N/A)
Volatility: 13.7%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.73 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
TMO ↑ (Y, F, Z, S) $618.01 1.6M β–² +1.11% (+6.81) β–² +5.92% (+34.56) β–² +7.98% (+45.67) β–² +46.89% (+197.29) β–² +6.65% (+38.56) β–² +15.45% (+82.71) β–² +16.55%
$11,655
Day
$614.25$628.08
52W
$384.82$628.08
Bollinger Bands
$549.72$578.91$608.10
Width: 10.1% – Above Upper
Implied Move Β±0.9%
$613.51$622.52
MACD: Bullish
Short: 1.4% (3.8d)
Volatility: 18.2%
Opt Dir: Bearish
Bias: Up
πŸš€ 23%
Confidence: HOLD
ATR: $10.86 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +3.8%
XBI β†˜ (Y, F, Z, S) $121.47 5.4M β–² +1.10% (+1.32) β–Ό -0.16% (-0.20) β–Ό -1.25% (-1.53) β–² +61.46% (+46.24) β–Ό -0.38% (-0.46) β–² +32.22% (+29.60) β–² +46.85%
$14,685
Day
$120.40$122.10
52W
$66.42$126.50
Bollinger Bands
$118.83$122.52$126.22
Width: 6.0% – Inside
Implied Move Β±1.8%
$119.58$123.36
MACD: Bearish
Short: N/A (N/A)
Volatility: 23.2%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $2.38 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ SSO ↑ (Y, F, Z, S) $59.53 6.4M β–² +1.10% (+0.65) β–² +1.23% (+0.73) β–² +1.81% (+1.06) β–² +74.96% (+25.50) β–² +2.77% (+1.61) β–² +25.76% (+12.19) β–² +165.49%
$26,549
Day
$58.87$59.54
52W
$30.24$59.63
Bollinger Bands
$56.40$58.27$60.14
Width: 6.4% – Inside
Implied Move Β±1.6%
$58.70$60.35
MACD: Bullish
Short: N/A (N/A)
Volatility: 23.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.91 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
MCD ↓ (Y, F, Z, S) $303.12 1.7M β–² +1.09% (+3.26) β–Ό -1.59% (-4.91) β–Ό -2.61% (-8.11) β–Ό -0.10% (-0.31) β–Ό -0.82% (-2.51) β–² +6.16% (+17.60) β–² +20.57%
$12,057
Day
$298.33$304.18
52W
$270.23$321.79
Bollinger Bands
$300.10$311.22$322.34
Width: 7.1% – Inside
Implied Move Β±1.4%
$299.56$306.68
MACD: Bearish
Short: 1.2% (2.9d)
Volatility: 17.7%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $4.05 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +9.3%
PFE β†˜ (Y, F, Z, S) $25.44 26.7M β–² +1.07% (+0.27) β–² +1.80% (+0.45) β–Ό -2.27% (-0.59) β–² +21.77% (+4.55) β–² +2.17% (+0.54) β–² +1.45% (+0.36) β–Ό -40.57%
$5,943
Day
$25.30$26.00
52W
$19.83$27.21
Bollinger Bands
$24.52$25.33$26.15
Width: 6.4% – Inside
Implied Move Β±1.6%
$25.09$25.79
MACD: Bearish
Short: 2.5% (3.6d)
Volatility: 21.6%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.45 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +12.5%
⏸️ ADSK ↓ (Y, F, Z, S) $291.74 244.9K β–² +1.07% (+3.08) β–Ό -2.60% (-7.80) β–Ό -4.89% (-15.00) β–² +14.74% (+37.47) β–Ό -1.44% (-4.27) β–Ό -0.26% (-0.77) β–² +55.85%
$15,585
Day
$287.53$291.84
52W
$232.67$329.09
Bollinger Bands
$288.39$297.11$305.83
Width: 5.9% – Inside
Implied Move Β±2.1%
$286.60$296.88
MACD: Bearish
Short: 1.8% (3.3d)
Volatility: 20.1%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.99 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +25.5%
⏸️ ALNY β†’ (Y, F, Z, S) $402.07 849.5K β–² +1.07% (+4.24) β–² +1.21% (+4.82) β–Ό -12.23% (-56.05) β–² +72.75% (+169.32) β–² +1.11% (+4.42) β–² +72.45% (+168.92) β–² +78.70%
$17,870
Day
$384.42$403.11
52W
$205.87$495.55
Bollinger Bands
$383.38$401.62$419.86
Width: 9.1% – Inside
Implied Move Β±7.1%
$377.97$426.17
MACD: Bullish
Short: 4.2% (2.2d)
Volatility: 34.2%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $10.59 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +22.0%
⏸️ NOW ↓ (Y, F, Z, S) $149.15 3.2M β–² +1.05% (+1.55) β–Ό -3.29% (-5.08) β–Ό -12.71% (-21.72) β–Ό -1.35% (-2.05) β–Ό -2.64% (-4.04) β–Ό -30.76% (-66.26) β–² +103.46%
$20,346
Day
$147.07$149.44
52W
$135.73$239.62
Bollinger Bands
$140.54$157.85$175.16
Width: 21.9% – Inside
Implied Move Β±2.6%
$145.83$152.47
MACD: Bearish
Short: 1.8% (1.9d)
Volatility: 33.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $3.88 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +50.4%
⏸️ FTEC ↑ (Y, F, Z, S) $228.15 275.0K β–² +1.01% (+2.28) β–² +0.57% (+1.29) β–Ό -0.25% (-0.58) β–² +56.51% (+82.38) β–² +1.55% (+3.48) β–² +20.10% (+38.18) β–² +145.46%
$24,546
Day
$225.82$228.24
52W
$133.64$239.96
Bollinger Bands
$218.95$226.44$233.93
Width: 6.6% – Inside
Implied Move Β±2.8%
$222.76$233.55
MACD: Bullish
Short: N/A (N/A)
Volatility: 20.6%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $2.91 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ ORCX β†’ (Y, F, Z, S) $16.98 7.5M β–² +1.01% (+0.17) β–Ό -3.74% (-0.66) β–Ό -23.79% (-5.30) β–² +81.41% (+7.62) β–Ό -1.45% (-0.25) β–Ό -17.41% (-3.58) β–Ό -17.41%
$8,259
Day
$16.51$16.98
52W
$9.05$60.53
Bollinger Bands
$12.88$17.84$22.81
Width: 55.7% – Inside
Implied Move Β±11.5%
$15.32$18.64
MACD: Bullish
Short: N/A (N/A)
Volatility: 102.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.07 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ VGT ↑ (Y, F, Z, S) $765.04 408.3K β–² +1.01% (+7.62) β–² +0.55% (+4.15) β–Ό -0.28% (-2.15) β–² +56.08% (+274.88) β–² +1.49% (+11.26) β–² +19.78% (+126.35) β–² +143.49%
$24,349
Day
$757.10$765.45
52W
$449.54$806.17
Bollinger Bands
$734.45$759.47$784.48
Width: 6.6% – Inside
Implied Move Β±2.7%
$747.52$782.56
MACD: Bullish
Short: N/A (N/A)
Volatility: 20.6%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $9.86 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
BULZ ↑ (Y, F, Z, S) $265.03 478.1K β–² +0.99% (+2.59) β–Ό -1.05% (-2.80) β–Ό -4.67% (-12.97) β–² +282.71% (+195.78) β–² +2.11% (+5.48) β–² +49.77% (+88.07) β–² +1058.85%
$115,885
Day
$257.24$265.39
52W
$57.00$335.58
Bollinger Bands
$235.97$264.73$293.49
Width: 21.7% – Inside
MACD: Bullish
Short: N/A (N/A)
Volatility: 81.8%
Opt Dir: Neutral
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $13.05 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ SKYY ↓ (Y, F, Z, S) $129.81 38.0K β–² +0.97% (+1.24) β–Ό -1.18% (-1.55) β–Ό -1.80% (-2.38) β–² +40.86% (+37.65) β–Ό -0.21% (-0.27) β–² +5.18% (+6.39) β–² +130.98%
$23,098
Day
$128.10$129.81
52W
$85.38$143.74
Bollinger Bands
$127.01$131.45$135.89
Width: 6.7% – Inside
Implied Move Β±3.8%
$125.67$133.95
MACD: Bearish
Short: N/A (N/A)
Volatility: 21.1%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.85 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
MS ↑ (Y, F, Z, S) $188.33 1.6M β–² +0.96% (+1.79) β–² +5.17% (+9.25) β–² +6.70% (+11.82) β–² +80.93% (+84.24) β–² +6.09% (+10.80) β–² +50.50% (+63.20) β–² +138.05%
$23,805
Day
$185.75$188.75
52W
$92.37$188.75
Bollinger Bands
$172.35$179.46$186.57
Width: 7.9% – Above Upper
Implied Move Β±1.4%
$186.14$190.53
MACD: Bullish
Short: 1.3% (3.6d)
Volatility: 23.5%
Opt Dir: Bullish
Bias: Up
πŸš€ 28%
Confidence: HOLD
ATR: $3.32 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -6.0%
ADBE ↓ (Y, F, Z, S) $334.69 1.5M β–² +0.94% (+3.13) β–Ό -5.06% (-17.82) β–Ό -3.34% (-11.57) β–Ό -2.49% (-8.53) β–Ό -4.37% (-15.30) β–Ό -22.38% (-96.49) β–² +0.58%
$10,058
Day
$329.50$336.33
52W
$311.59$465.70
Bollinger Bands
$332.33$348.54$364.74
Width: 9.3% – Inside
Implied Move Β±2.5%
$327.70$341.68
MACD: Bearish
Short: 2.8% (3.3d)
Volatility: 28.9%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $7.31 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +27.8%
MMM β†— (Y, F, Z, S) $165.07 1.3M β–² +0.93% (+1.52) β–² +2.42% (+3.90) β–Ό -1.44% (-2.41) β–² +32.73% (+40.71) β–² +3.10% (+4.97) β–² +29.09% (+37.19) β–² +74.17%
$17,417
Day
$161.82$165.65
52W
$120.31$174.69
Bollinger Bands
$157.86$163.15$168.44
Width: 6.5% – Inside
Implied Move Β±2.7%
$161.26$168.88
MACD: Bullish
Short: 1.3% (3.6d)
Volatility: 24.6%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $2.60 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +5.8%
FAST β†’ (Y, F, Z, S) $41.53 3.1M β–² +0.91% (+0.38) β–² +1.60% (+0.66) β–² +0.06% (+0.03) β–² +5.03% (+1.99) β–² +3.48% (+1.40) β–² +17.85% (+6.29) β–² +88.05%
$18,805
Day
$40.75$41.54
52W
$34.77$50.37
Bollinger Bands
$40.05$41.48$42.91
Width: 6.9% – Inside
Implied Move Β±2.8%
$40.53$42.52
MACD: Bearish
Short: 3.1% (4.5d)
Volatility: 23.5%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.66 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +6.0%
⏸️ DDOG β†˜ (Y, F, Z, S) $134.85 1.2M β–² +0.91% (+1.21) β–Ό -1.91% (-2.63) β–Ό -10.94% (-16.56) β–² +51.65% (+45.93) β–Ό -0.84% (-1.14) β–Ό -7.66% (-11.19) β–² +110.24%
$21,024
Day
$131.68$135.42
52W
$81.63$201.69
Bollinger Bands
$128.63$141.23$153.82
Width: 17.8% – Inside
Implied Move Β±3.8%
$130.45$139.25
MACD: Bullish
Short: 2.6% (3.0d)
Volatility: 59.3%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $3.42 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +56.3%
⏸️ IYW ↑ (Y, F, Z, S) $202.11 569.3K β–² +0.85% (+1.71) β–² +0.30% (+0.60) β–Ό -0.38% (-0.77) β–² +58.31% (+74.44) β–² +1.22% (+2.43) β–² +22.79% (+37.51) β–² +174.05%
$27,405
Day
$200.35$202.21
52W
$117.42$211.92
Bollinger Bands
$194.42$200.59$206.75
Width: 6.1% – Inside
Implied Move Β±2.9%
$197.19$207.03
MACD: Bullish
Short: N/A (N/A)
Volatility: 20.0%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $2.52 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ NTSK ↓ (Y, F, Z, S) $17.30 1.7M β–² +0.85% (+0.15) β–Ό -3.54% (-0.64) β–Ό -16.57% (-3.43) β–Ό -23.10% (-5.19) β–Ό -1.40% (-0.25) β–Ό -23.10% (-5.19) β–Ό -23.10%
$7,690
Day
$16.74$17.36
52W
$16.57$27.99
Bollinger Bands
$15.39$19.38$23.38
Width: 41.2% – Inside
Implied Move Β±9.0%
$15.98$18.61
MACD: Bearish
Short: N/A (2.3d)
Volatility: 67.3%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.89 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +56.1%
FDGFX β†’ (Y, F, Z, S) $43.35 0 β–² +0.84% (+0.36) β–² +1.19% (+0.51) β–² +0.09% (+0.04) β–² +44.08% (+13.26) β–² +1.86% (+0.79) β–² +25.55% (+8.82) β–² +116.50%
$21,650
Day
$42.56$43.35
52W
$28.15$44.07
Bollinger Bands
$42.40$43.32$44.24
Width: 4.2% – Inside
MACD: Bearish
Short: N/A (N/A)
Volatility: 15.6%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.33 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
CPRT β†— (Y, F, Z, S) $38.86 2.6M β–² +0.83% (+0.32) β–Ό -1.62% (-0.64) β–² +0.36% (+0.14) β–Ό -33.83% (-19.87) β–Ό -0.74% (-0.29) β–Ό -31.32% (-17.72) β–² +24.57%
$12,457
Day
$38.33$38.93
52W
$37.41$63.85
Bollinger Bands
$38.08$38.94$39.81
Width: 4.4% – Inside
Implied Move Β±4.2%
$37.47$40.25
MACD: Bullish
Short: 3.8% (3.7d)
Volatility: 22.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.65 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +25.8%
⏸️ QQQM β†— (Y, F, Z, S) $256.54 3.1M β–² +0.83% (+2.11) β–² +0.59% (+1.50) β–Ό -0.26% (-0.66) β–² +44.37% (+78.84) β–² +1.43% (+3.62) β–² +19.47% (+41.81) β–² +136.63%
$23,663
Day
$254.73$256.58
52W
$165.07$261.90
Bollinger Bands
$248.56$254.34$260.12
Width: 4.5% – Inside
Implied Move Β±2.3%
$251.47$261.61
MACD: Bearish
Short: N/A (N/A)
Volatility: 17.0%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.79 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
MCK ↑ (Y, F, Z, S) $831.76 228.7K β–² +0.83% (+6.84) β–² +0.54% (+4.43) β–² +2.86% (+23.14) β–² +22.25% (+151.39) β–² +1.40% (+11.47) β–² +43.91% (+253.78) β–² +118.64%
$21,864
Day
$820.02$834.00
52W
$568.11$894.75
Bollinger Bands
$797.56$818.13$838.71
Width: 5.0% – Inside
Implied Move Β±2.2%
$816.36$847.16
MACD: Bullish
Short: 1.7% (4.3d)
Volatility: 20.3%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $12.70 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +12.9%
⏸️ QQQ ↑ (Y, F, Z, S) $623.10 54.1M β–² +0.83% (+5.11) β–² +0.59% (+3.67) β–Ό -0.25% (-1.58) β–² +44.38% (+191.53) β–² +1.43% (+8.79) β–² +19.39% (+101.21) β–² +135.99%
$23,599
Day
$618.57$623.23
52W
$400.96$636.19
Bollinger Bands
$603.75$617.75$631.75
Width: 4.5% – Inside
Implied Move Β±0.2%
$622.17$624.03
MACD: Bullish
Short: N/A (N/A)
Volatility: 17.0%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $6.83 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ ABBV ↓ (Y, F, Z, S) $221.92 3.2M β–² +0.79% (+1.74) β–Ό -3.40% (-7.82) β–Ό -1.84% (-4.16) β–² +32.49% (+54.42) β–Ό -2.88% (-6.57) β–² +27.53% (+47.90) β–² +48.72%
$14,872
Day
$219.72$224.15
52W
$160.33$243.06
Bollinger Bands
$219.58$226.04$232.49
Width: 5.7% – Inside
Implied Move Β±2.0%
$218.17$225.67
MACD: Bearish
Short: 1.0% (3.4d)
Volatility: 23.5%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.17 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +10.3%
⏸️ IGV ↓ (Y, F, Z, S) $104.44 2.2M β–² +0.79% (+0.82) β–Ό -2.38% (-2.54) β–Ό -4.58% (-5.01) β–² +24.47% (+20.53) β–Ό -1.18% (-1.25) β–² +2.72% (+2.76) β–² +105.96%
$20,596
Day
$103.45$104.52
52W
$76.68$117.99
Bollinger Bands
$102.76$107.08$111.40
Width: 8.1% – Inside
Implied Move Β±3.0%
$101.80$107.09
MACD: Bearish
Short: N/A (N/A)
Volatility: 20.9%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.68 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
ASML ↑ (Y, F, Z, S) $1237.81 904.9K β–² +0.78% (+9.62) β–² +15.45% (+165.67) β–² +12.58% (+138.34) β–² +99.62% (+617.72) β–² +15.70% (+167.95) β–² +62.61% (+476.57) β–² +113.51%
$21,351
Day
$1222.42$1246.38
52W
$574.25$1246.38
Bollinger Bands
$980.96$1096.03$1211.11
Width: 21.0% – Above Upper
Implied Move Β±3.2%
$1204.58$1271.05
MACD: Bullish
Short: 0.3% (1.0d)
Volatility: 38.9%
Opt Dir: Bullish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $31.77 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -5.6%
⏸️ FOUR β†˜ (Y, F, Z, S) $64.45 542.6K β–² +0.77% (+0.49) β–² +0.03% (+0.02) β–Ό -6.43% (-4.43) β–Ό -13.99% (-10.48) β–² +2.35% (+1.48) β–Ό -39.53% (-42.14) β–² +17.08%
$11,708
Day
$63.62$64.83
52W
$61.23$127.50
Bollinger Bands
$61.85$65.46$69.07
Width: 11.0% – Inside
Implied Move Β±5.7%
$61.35$67.55
MACD: Bullish
Short: 20.0% (8.1d)
Volatility: 38.3%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.96 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +44.4%
FCNTX β†— (Y, F, Z, S) $24.55 0 β–² +0.74% (+0.18) β–² +0.37% (+0.09) β–² +7.58% (+1.73) β–² +41.78% (+7.23) β–² +1.03% (+0.25) β–² +25.72% (+5.02) β–² +164.82%
$26,482
Day
$24.30$24.55
52W
$16.54$24.56
Bollinger Bands
$23.75$24.24$24.74
Width: 4.1% – Inside
MACD: Bearish
Short: N/A (N/A)
Volatility: 18.3%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.12 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
INTC ↑ (Y, F, Z, S) $39.65 54.6M β–² +0.72% (+0.28) β–² +6.31% (+2.35) β–Ό -4.24% (-1.76) β–² +110.48% (+20.81) β–² +7.47% (+2.75) β–² +99.57% (+19.78) β–² +43.14%
$14,314
Day
$38.95$39.88
52W
$17.67$44.02
Bollinger Bands
$34.55$37.86$41.17
Width: 17.5% – Inside
Implied Move Β±4.1%
$38.29$41.02
MACD: Bullish
Short: 2.7% (1.9d)
Volatility: 51.8%
Opt Dir: Bearish
Bias: Down
πŸš€ 46%
Confidence: HOLD
ATR: $1.46 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: -3.4%
⏸️ JEPQ ↑ (Y, F, Z, S) $58.86 3.0M β–² +0.72% (+0.42) β–² +0.59% (+0.34) β–² +1.05% (+0.61) β–² +34.22% (+15.01) β–² +1.27% (+0.74) β–² +14.15% (+7.30) β–² +97.52%
$19,752
Day
$58.51$58.87
52W
$40.75$58.87
Bollinger Bands
$57.00$58.15$59.30
Width: 4.0% – Inside
Implied Move Β±1.5%
$58.10$59.62
MACD: Bullish
Short: N/A (N/A)
Volatility: 13.3%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.54 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
ROP ↓ (Y, F, Z, S) $434.70 280.7K β–² +0.70% (+3.04) β–Ό -3.22% (-14.46) β–Ό -2.67% (-11.95) β–Ό -18.97% (-101.79) β–Ό -2.14% (-9.52) β–Ό -13.71% (-69.07) β–Ό -0.23%
$9,977
Day
$430.01$436.05
52W
$427.89$591.26
Bollinger Bands
$433.03$444.42$455.82
Width: 5.1% – Inside
Implied Move Β±6.5%
$410.56$458.84
MACD: Bearish
Short: 1.7% (2.1d)
Volatility: 20.5%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $6.99 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +29.0%
⏸️ V ↑ (Y, F, Z, S) $356.29 3.1M β–² +0.70% (+2.49) β–² +0.76% (+2.67) β–² +7.56% (+25.05) β–² +11.91% (+37.91) β–² +1.59% (+5.58) β–² +14.62% (+45.46) β–² +67.36%
$16,736
Day
$352.35$357.38
52W
$297.39$374.11
Bollinger Bands
$327.62$346.77$365.92
Width: 11.0% – Inside
Implied Move Β±1.3%
$352.29$360.29
MACD: Bullish
Short: 1.5% (4.5d)
Volatility: 20.1%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.67 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +11.1%
GS ↑ (Y, F, Z, S) $955.09 1.1M β–² +0.70% (+6.65) β–² +7.99% (+70.67) β–² +11.76% (+100.53) β–² +93.43% (+461.32) β–² +8.66% (+76.09) β–² +67.05% (+383.37) β–² +195.86%
$29,586
Day
$943.30$957.68
52W
$432.73$961.69
Bollinger Bands
$850.29$896.72$943.15
Width: 10.4% – Above Upper
Implied Move Β±2.3%
$936.60$973.58
MACD: Bullish
Short: 2.4% (3.5d)
Volatility: 27.0%
Opt Dir: Bearish
Bias: Up
πŸš€ 77%
Confidence: HOLD
ATR: $19.73 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: -12.1%
⏸️ NAIL ↓ (Y, F, Z, S) $53.03 930.6K β–² +0.67% (+0.36) β–² +3.65% (+1.87) β–Ό -12.78% (-7.77) β–² +16.42% (+7.48) β–² +6.86% (+3.41) β–Ό -35.51% (-29.20) β–² +52.36%
$15,236
Day
$49.80$53.24
52W
$39.62$103.95
Bollinger Bands
$47.69$54.56$61.43
Width: 25.2% – Inside
Implied Move Β±8.5%
$49.20$56.85
MACD: Bearish
Short: N/A (N/A)
Volatility: 72.1%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.68 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
RTX ↑ (Y, F, Z, S) $189.52 1.8M β–² +0.67% (+1.26) β–² +3.00% (+5.51) β–² +10.77% (+18.42) β–² +52.30% (+65.09) β–² +3.34% (+6.12) β–² +69.20% (+77.51) β–² +97.91%
$19,791
Day
$187.71$189.88
52W
$110.77$190.50
Bollinger Bands
$171.14$181.68$192.22
Width: 11.6% – Inside
Implied Move Β±2.0%
$186.23$192.82
MACD: Bullish
Short: 0.7% (2.5d)
Volatility: 24.4%
Opt Dir: Bearish
Bias: Up
πŸš€ 58%
Confidence: HOLD
ATR: $2.96 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +3.9%
⏸️ MSFT ↓ (Y, F, Z, S) $476.02 7.4M β–² +0.67% (+3.17) β–Ό -2.35% (-11.46) β–Ό -1.48% (-7.14) β–² +33.26% (+118.81) β–Ό -1.57% (-7.60) β–² +12.08% (+51.30) β–² +116.69%
$21,669
Day
$469.75$476.24
52W
$342.95$553.50
Bollinger Bands
$470.26$482.42$494.58
Width: 5.0% – Inside
Implied Move Β±1.7%
$469.33$482.70
MACD: Bearish
Short: 0.9% (3.2d)
Volatility: 18.9%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.23 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +30.8%
SCHW ↑ (Y, F, Z, S) $104.43 3.1M β–² +0.67% (+0.69) β–² +3.86% (+3.88) β–² +11.31% (+10.61) β–² +40.57% (+30.14) β–² +4.52% (+4.52) β–² +41.93% (+30.85) β–² +29.04%
$12,904
Day
$104.16$104.76
52W
$65.30$104.75
Bollinger Bands
$92.64$98.99$105.33
Width: 12.8% – Inside
Implied Move Β±1.7%
$102.90$105.96
MACD: Bullish
Short: 1.1% (2.4d)
Volatility: 17.4%
Opt Dir: Bearish
Bias: Up
πŸš€ 69%
Confidence: HOLD
ATR: $1.57 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +8.3%
BA ↑ (Y, F, Z, S) $229.65 3.9M β–² +0.66% (+1.51) β–² +5.10% (+11.15) β–² +13.75% (+27.76) β–² +44.12% (+70.31) β–² +5.77% (+12.53) β–² +34.47% (+58.87) β–² +7.81%
$10,781
Day
$229.09$231.64
52W
$128.88$242.69
Bollinger Bands
$194.24$212.90$231.57
Width: 17.5% – Inside
Implied Move Β±2.1%
$225.62$233.67
MACD: Bullish
Short: 2.1% (2.4d)
Volatility: 34.8%
Opt Dir: Bearish
Bias: Down
πŸš€ 81%
Confidence: HOLD
ATR: $4.45 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +7.7%
AMP ↑ (Y, F, Z, S) $511.25 203.0K β–² +0.66% (+3.36) β–² +3.39% (+16.78) β–² +7.17% (+34.19) β–² +14.46% (+64.58) β–² +4.26% (+20.91) β–Ό -2.45% (-12.85) β–² +66.06%
$16,606
Day
$503.30$511.65
52W
$392.21$574.69
Bollinger Bands
$476.82$493.97$511.13
Width: 6.9% – Above Upper
Implied Move Β±2.5%
$500.24$522.26
MACD: Bullish
Short: 3.8% (5.7d)
Volatility: 23.0%
Opt Dir: Bearish
Bias: Up
πŸš€ 28%
Confidence: HOLD
ATR: $7.73 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +6.3%
⏸️ XLY β†’ (Y, F, Z, S) $121.08 11.6M β–² +0.65% (+0.78) β–² +0.60% (+0.72) β–² +1.33% (+1.59) β–² +34.99% (+31.39) β–² +1.40% (+1.67) β–² +7.71% (+8.67) β–² +88.10%
$18,810
Day
$119.47$121.14
52W
$86.04$123.39
Bollinger Bands
$117.64$120.60$123.57
Width: 4.9% – Inside
Implied Move Β±3.5%
$117.53$124.64
MACD: Bearish
Short: N/A (N/A)
Volatility: 18.4%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.47 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ ONEQ β†— (Y, F, Z, S) $92.56 133.2K β–² +0.65% (+0.60) β–² +0.50% (+0.46) β–Ό -0.10% (-0.09) β–² +48.84% (+30.37) β–² +1.27% (+1.16) β–² +18.86% (+14.69) β–² +128.08%
$22,808
Day
$92.00$92.57
52W
$57.85$94.34
Bollinger Bands
$89.91$91.86$93.81
Width: 4.2% – Inside
Implied Move Β±0.7%
$92.00$93.12
MACD: Bearish
Short: N/A (N/A)
Volatility: 17.0%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.98 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
FXAIX β†— (Y, F, Z, S) $239.74 0 β–² +0.63% (+1.51) β–² +0.12% (+0.28) β–² +0.77% (+1.83) β–² +31.83% (+57.88) β–² +0.85% (+2.02) β–² +16.96% (+34.76) β–² +84.91%
$18,491
Day
$237.72$239.74
52W
$171.47$240.68
Bollinger Bands
$234.34$238.11$241.89
Width: 3.2% – Inside
MACD: Bearish
Short: N/A (N/A)
Volatility: 13.1%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.14 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ AEP β†˜ (Y, F, Z, S) $114.76 741.3K β–² +0.61% (+0.69) β–Ό -1.06% (-1.23) β–Ό -2.36% (-2.78) β–² +11.49% (+11.83) β–Ό -0.48% (-0.55) β–² +31.49% (+27.48) β–² +33.26%
$13,326
Day
$113.88$115.07
52W
$86.88$124.80
Bollinger Bands
$113.73$115.10$116.47
Width: 2.4% – Inside
Implied Move Β±2.5%
$112.29$117.23
MACD: Bullish
Short: 4.2% (6.6d)
Volatility: 18.9%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.37 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +12.4%
VTI ↑ (Y, F, Z, S) $340.88 4.5M β–² +0.60% (+2.04) β–² +0.90% (+3.03) β–² +1.27% (+4.27) β–² +36.12% (+90.45) β–² +1.67% (+5.61) β–² +17.08% (+49.73) β–² +83.07%
$18,307
Day
$338.81$340.90
52W
$234.39$340.90
Bollinger Bands
$330.95$336.56$342.17
Width: 3.3% – Inside
Implied Move Β±1.7%
$335.99$345.77
MACD: Bullish
Short: N/A (N/A)
Volatility: 12.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.66 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ ORCL β†’ (Y, F, Z, S) $193.69 9.2M β–² +0.57% (+1.10) β–Ό -1.78% (-3.52) β–Ό -10.98% (-23.89) β–² +58.31% (+71.34) β–Ό -0.63% (-1.22) β–² +18.06% (+29.63) β–² +134.67%
$23,467
Day
$190.70$193.75
52W
$117.98$345.12
Bollinger Bands
$172.54$196.83$221.12
Width: 24.7% – Inside
Implied Move Β±3.8%
$187.43$199.95
MACD: Bullish
Short: 1.7% (1.3d)
Volatility: 51.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.25 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +51.0%
VOO ↑ (Y, F, Z, S) $636.03 5.8M β–² +0.56% (+3.57) β–² +0.68% (+4.31) β–² +1.17% (+7.33) β–² +35.83% (+167.78) β–² +1.42% (+8.90) β–² +17.58% (+95.11) β–² +85.88%
$18,588
Day
$632.53$636.11
52W
$438.94$636.11
Bollinger Bands
$617.88$628.46$639.03
Width: 3.4% – Inside
Implied Move Β±1.0%
$630.76$641.30
MACD: Bullish
Short: N/A (N/A)
Volatility: 11.7%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.92 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ QQQI β†— (Y, F, Z, S) $54.38 2.7M β–² +0.56% (+0.31) β–² +0.23% (+0.12) β–² +0.17% (+0.09) β–² +36.77% (+14.62) β–² +0.96% (+0.51) β–² +17.56% (+8.12) β–² +43.52%
$14,352
Day
$54.12$54.38
52W
$36.97$55.09
Bollinger Bands
$52.95$53.99$55.03
Width: 3.9% – Inside
Implied Move Β±1.8%
$53.55$55.20
MACD: Bearish
Short: N/A (N/A)
Volatility: 14.6%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.51 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
SPY ↑ (Y, F, Z, S) $691.55 42.4M β–² +0.56% (+3.83) β–² +0.66% (+4.54) β–² +1.15% (+7.88) β–² +35.75% (+182.11) β–² +1.41% (+9.63) β–² +17.52% (+103.10) β–² +85.38%
$18,538
Day
$687.78$691.68
52W
$477.64$691.68
Bollinger Bands
$671.90$683.39$694.89
Width: 3.4% – Inside
Implied Move Β±0.2%
$690.55$692.55
MACD: Bullish
Short: N/A (N/A)
Volatility: 11.7%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $5.35 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
IVV ↑ (Y, F, Z, S) $694.61 3.1M β–² +0.55% (+3.82) β–² +0.68% (+4.69) β–² +1.16% (+7.93) β–² +35.82% (+183.19) β–² +1.41% (+9.67) β–² +17.59% (+103.90) β–² +85.87%
$18,587
Day
$690.83$694.74
52W
$479.35$694.74
Bollinger Bands
$674.89$686.40$697.90
Width: 3.4% – Inside
Implied Move Β±0.3%
$692.65$696.56
MACD: Bullish
Short: N/A (N/A)
Volatility: 11.7%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $5.35 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
JNJ β†˜ (Y, F, Z, S) $205.43 3.7M β–² +0.55% (+1.12) β–Ό -0.72% (-1.48) β–² +1.73% (+3.50) β–² +33.85% (+51.95) β–Ό -0.73% (-1.52) β–² +47.37% (+66.04) β–² +24.85%
$12,485
Day
$204.47$206.71
52W
$136.50$215.19
Bollinger Bands
$200.94$207.26$213.59
Width: 6.1% – Inside
Implied Move Β±1.6%
$202.60$208.26
MACD: Bearish
Short: 1.0% (3.3d)
Volatility: 15.8%
Opt Dir: Bullish
Bias: Up
πŸš€ 25%
Confidence: HOLD
ATR: $3.05 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +2.6%
SCHD ↑ (Y, F, Z, S) $28.06 12.7M β–² +0.52% (+0.15) β–² +1.54% (+0.43) β–² +2.28% (+0.63) β–² +15.44% (+3.75) β–² +2.28% (+0.62) β–² +6.91% (+1.81) β–² +21.22%
$12,122
Day
$27.95$28.13
52W
$23.18$28.13
Bollinger Bands
$27.21$27.60$27.99
Width: 2.8% – Above Upper
Implied Move Β±0.7%
$27.89$28.23
MACD: Bullish
Short: N/A (N/A)
Volatility: 10.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.22 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
BAC ↑ (Y, F, Z, S) $57.19 15.6M β–² +0.52% (+0.30) β–² +3.45% (+1.91) β–² +6.00% (+3.24) β–² +57.48% (+20.87) β–² +3.97% (+2.19) β–² +28.88% (+12.81) β–² +79.79%
$17,979
Day
$56.78$57.28
52W
$32.53$57.55
Bollinger Bands
$53.32$55.27$57.22
Width: 7.1% – Inside
Implied Move Β±1.7%
$56.34$58.03
MACD: Bullish
Short: 1.6% (4.2d)
Volatility: 20.4%
Opt Dir: Bullish
Bias: Up
πŸš€ 34%
Confidence: HOLD
ATR: $0.84 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +6.8%
XLF ↑ (Y, F, Z, S) $56.40 27.4M β–² +0.47% (+0.26) β–² +2.20% (+1.22) β–² +5.42% (+2.90) β–² +24.80% (+11.21) β–² +2.97% (+1.62) β–² +18.04% (+8.62) β–² +67.27%
$16,727
Day
$56.01$56.41
52W
$41.78$56.51
Bollinger Bands
$53.15$54.85$56.55
Width: 6.2% – Inside
Implied Move Β±1.2%
$55.84$56.95
MACD: Bullish
Short: N/A (N/A)
Volatility: 14.1%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.58 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
FBL β†— (Y, F, Z, S) $32.50 1.1M β–² +0.43% (+0.14) β–Ό -1.96% (-0.65) β–Ό -4.67% (-1.59) β–² +61.15% (+12.33) β–Ό -0.03% (-0.01) β–Ό -12.91% (-4.82) β–² +740.05%
$84,005
Day
$31.73$32.62
52W
$19.75$50.70
Bollinger Bands
$31.11$32.42$33.74
Width: 8.1% – Inside
Implied Move Β±5.7%
$30.92$34.08
MACD: Bullish
Short: N/A (N/A)
Volatility: 66.3%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.23 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
PWR β†’ (Y, F, Z, S) $437.64 448.7K β–² +0.42% (+1.82) β–² +2.09% (+8.94) β–Ό -4.97% (-22.88) β–² +72.59% (+184.06) β–² +3.72% (+15.69) β–² +33.56% (+109.96) β–² +215.90%
$31,590
Day
$418.24$439.08
52W
$226.91$473.87
Bollinger Bands
$408.98$437.62$466.27
Width: 13.1% – Inside
Implied Move Β±4.7%
$420.10$455.18
MACD: Bullish
Short: 3.5% (6.5d)
Volatility: 35.2%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $11.59 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +8.9%
BRKU ↓ (Y, F, Z, S) $24.50 52.9K β–² +0.39% (+0.10) β–Ό -1.90% (-0.47) β–Ό -3.01% (-0.76) β–Ό -11.48% (-3.18) β–Ό -1.46% (-0.36) β–² +6.08% (+1.40) β–² +0.74%
$10,074
Day
$24.19$24.52
52W
$21.43$31.80
Bollinger Bands
$23.86$24.61$25.35
Width: 6.1% – Inside
MACD: Bearish
Short: N/A (N/A)
Volatility: 26.9%
Opt Dir: Neutral
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.54 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
AFRM ↑ (Y, F, Z, S) $81.11 1.9M β–² +0.38% (+0.31) β–² +6.93% (+5.26) β–² +19.30% (+13.12) β–² +99.53% (+40.46) β–² +8.97% (+6.68) β–² +24.61% (+16.02) β–² +795.25%
$89,525
Day
$78.63$82.18
52W
$30.90$100.00
Bollinger Bands
$65.02$73.75$82.49
Width: 23.7% – Inside
Implied Move Β±5.2%
$77.51$84.71
MACD: Bullish
Short: 6.3% (4.8d)
Volatility: 63.6%
Opt Dir: Bearish
Bias: Down
πŸš€ 81%
Confidence: HOLD
ATR: $3.62 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +14.4%
⏸️ VUG β†’ (Y, F, Z, S) $490.15 882.2K β–² +0.35% (+1.70) β–Ό -0.31% (-1.54) β–Ό -0.70% (-3.44) β–² +43.60% (+148.82) β–² +0.47% (+2.29) β–² +16.90% (+70.85) β–² +132.60%
$23,260
Day
$487.40$490.33
52W
$315.12$504.86
Bollinger Bands
$478.33$488.87$499.41
Width: 4.3% – Inside
Implied Move Β±2.0%
$481.96$498.34
MACD: Bearish
Short: N/A (N/A)
Volatility: 15.7%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $5.13 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ LIN ↑ (Y, F, Z, S) $434.58 797.2K β–² +0.34% (+1.48) β–² +1.45% (+6.22) β–² +8.76% (+35.01) β–Ό -1.10% (-4.84) β–² +1.92% (+8.18) β–² +6.66% (+27.15) β–² +42.95%
$14,295
Day
$433.46$438.28
52W
$387.78$483.05
Bollinger Bands
$391.24$418.58$445.92
Width: 13.1% – Inside
Implied Move Β±2.5%
$425.40$443.76
MACD: Bullish
Short: 1.8% (3.8d)
Volatility: 17.9%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ 27%
Confidence: HOLD
ATR: $5.27 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +15.7%
⏸️ META β†˜ (Y, F, Z, S) $660.91 4.6M β–² +0.32% (+2.12) β–Ό -0.76% (-5.04) β–Ό -1.78% (-11.96) β–² +36.67% (+177.34) β–² +0.12% (+0.82) β–² +5.20% (+32.69) β–² +411.86%
$51,186
Day
$652.00$661.67
52W
$478.72$795.06
Bollinger Bands
$643.98$657.88$671.79
Width: 4.2% – Inside
Implied Move Β±2.0%
$649.74$672.08
MACD: Bearish
Short: 1.5% (2.3d)
Volatility: 33.0%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $12.92 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +26.7%
XLRE β†— (Y, F, Z, S) $40.56 4.3M β–² +0.32% (+0.13) β–Ό -0.39% (-0.16) β–² +0.03% (+0.01) β–² +5.25% (+2.02) β–² +0.52% (+0.21) β–² +4.16% (+1.62) β–² +18.76%
$11,876
Day
$40.24$40.58
52W
$34.79$42.42
Bollinger Bands
$39.90$40.32$40.74
Width: 2.1% – Inside
Implied Move Β±2.0%
$39.87$41.25
MACD: Bullish
Short: N/A (N/A)
Volatility: 12.3%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.37 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ SCHG β†’ (Y, F, Z, S) $32.83 6.8M β–² +0.31% (+0.10) β–Ό -0.15% (-0.05) β–Ό -0.39% (-0.13) β–² +43.03% (+9.88) β–² +0.64% (+0.21) β–² +14.96% (+4.27) β–² +140.39%
$24,039
Day
$32.64$32.83
52W
$21.31$33.71
Bollinger Bands
$32.03$32.71$33.39
Width: 4.1% – Inside
Implied Move Β±2.1%
$32.24$33.42
MACD: Bearish
Short: N/A (N/A)
Volatility: 16.0%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.34 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ DIS ↑ (Y, F, Z, S) $114.40 3.6M β–² +0.29% (+0.33) β–Ό -0.34% (-0.39) β–² +9.38% (+9.81) β–² +37.70% (+31.32) β–² +0.55% (+0.63) β–² +4.16% (+4.56) β–² +24.67%
$12,467
Day
$113.11$114.76
52W
$79.22$123.85
Bollinger Bands
$106.82$111.77$116.72
Width: 8.9% – Inside
Implied Move Β±2.0%
$112.48$116.32
MACD: Bullish
Short: 1.2% (2.4d)
Volatility: 25.2%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.95 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +15.8%
CHTR β†— (Y, F, Z, S) $210.61 742.7K β–² +0.29% (+0.60) β–² +0.48% (+1.01) β–² +2.69% (+5.51) β–Ό -34.68% (-111.82) β–² +0.89% (+1.86) β–Ό -39.75% (-138.94) β–Ό -42.73%
$5,727
Day
$207.00$211.15
52W
$193.00$437.06
Bollinger Bands
$203.39$208.40$213.40
Width: 4.8% – Inside
Implied Move Β±3.5%
$204.30$216.92
MACD: Bullish
Short: 24.8% (9.7d)
Volatility: 30.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.38 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +44.3%
JPM ↑ (Y, F, Z, S) $334.95 3.7M β–² +0.27% (+0.90) β–² +3.56% (+11.52) β–² +6.32% (+19.90) β–² +47.69% (+108.16) β–² +3.95% (+12.73) β–² +41.28% (+97.87) β–² +159.53%
$25,953
Day
$330.65$335.12
52W
$200.22$337.25
Bollinger Bands
$304.23$320.62$337.01
Width: 10.2% – Inside
Implied Move Β±1.7%
$330.08$339.81
MACD: Bullish
Short: 0.9% (2.7d)
Volatility: 23.3%
Opt Dir: Bullish
Bias: Up
πŸš€ 28%
Confidence: HOLD
ATR: $5.16 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -0.6%
RIVN β†˜ (Y, F, Z, S) $19.64 25.8M β–² +0.27% (+0.05) β–² +0.27% (+0.05) β–² +9.43% (+1.69) β–² +76.17% (+8.49) β–Ό -0.34% (-0.07) β–² +25.00% (+3.93) β–² +19.77%
$11,977
Day
$18.88$20.10
52W
$10.36$22.69
Bollinger Bands
$16.13$19.41$22.69
Width: 33.8% – Inside
Implied Move Β±4.5%
$18.89$20.40
MACD: Bearish
Short: 15.0% (4.3d)
Volatility: 82.6%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.24 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: -15.2%
BB ↓ (Y, F, Z, S) $3.89 3.6M β–² +0.25% (+0.01) β–² +2.63% (+0.10) β–Ό -9.96% (-0.43) β–² +25.88% (+0.80) β–² +2.63% (+0.10) β–Ό -4.90% (-0.20) β–² +10.50%
$11,050
Day
$3.84$3.90
52W
$2.80$6.24
Bollinger Bands
$3.60$4.09$4.58
Width: 24.0% – Inside
Implied Move Β±5.1%
$3.72$4.06
MACD: Bearish
Short: 3.6% (1.9d)
Volatility: 41.4%
Opt Dir: Bearish
Bias: Down
πŸš€ 6%
Confidence: HOLD
ATR: $0.18 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +24.3%
XLP β†˜ (Y, F, Z, S) $77.51 8.8M β–² +0.21% (+0.17) β–Ό -0.81% (-0.64) β–Ό -0.41% (-0.32) β–Ό -2.32% (-1.84) β–Ό -0.21% (-0.17) β–² +2.74% (+2.07) β–² +10.90%
$11,090
Day
$77.19$77.66
52W
$73.79$82.67
Bollinger Bands
$76.93$78.05$79.16
Width: 2.9% – Inside
Implied Move Β±0.9%
$76.93$78.10
MACD: Bearish
Short: N/A (N/A)
Volatility: 11.5%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.56 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ SPRX ↑ (Y, F, Z, S) $40.49 266.6K β–² +0.20% (+0.08) β–² +3.95% (+1.54) β–² +0.25% (+0.10) β–² +121.74% (+22.23) β–² +5.17% (+1.99) β–² +35.64% (+10.64) β–² +246.28%
$34,628
Day
$39.53$40.49
52W
$16.31$44.48
Bollinger Bands
$35.85$39.30$42.75
Width: 17.6% – Inside
Implied Move Β±2.5%
$39.63$41.35
MACD: Bullish
Short: N/A (N/A)
Volatility: 46.4%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.30 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
XHB β†˜ (Y, F, Z, S) $105.44 1.9M β–² +0.20% (+0.21) β–² +1.34% (+1.39) β–Ό -1.67% (-1.79) β–² +19.29% (+17.05) β–² +2.41% (+2.48) β–² +1.53% (+1.59) β–² +69.63%
$16,963
Day
$102.71$105.49
52W
$84.08$120.21
Bollinger Bands
$102.55$105.50$108.44
Width: 5.6% – Inside
Implied Move Β±2.7%
$103.01$107.87
MACD: Bearish
Short: N/A (N/A)
Volatility: 22.3%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.67 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
NVDU β†— (Y, F, Z, S) $119.90 590.9K β–² +0.20% (+0.24) β–² +0.64% (+0.76) β–² +4.86% (+5.56) β–² +224.01% (+82.89) β–² +1.85% (+2.18) β–² +10.26% (+11.16) β–² +482.71%
$58,271
Day
$119.27$124.80
52W
$30.90$158.78
Bollinger Bands
$100.90$114.72$128.55
Width: 24.1% – Inside
Implied Move Β±21.9%
$97.63$142.17
MACD: Bullish
Short: N/A (N/A)
Volatility: 71.9%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.05 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
BRK-B β†˜ (Y, F, Z, S) $499.39 1.9M β–² +0.18% (+0.88) β–Ό -0.86% (-4.32) β–Ό -0.98% (-4.95) β–Ό -1.48% (-7.53) β–Ό -0.65% (-3.26) β–² +10.63% (+47.98) β–² +56.70%
$15,670
Day
$496.07$499.80
52W
$440.10$542.07
Bollinger Bands
$491.06$499.26$507.45
Width: 3.3% – Inside
Implied Move Β±1.2%
$494.46$504.32
MACD: Bearish
Short: 1.0% (2.7d)
Volatility: 14.0%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $5.70 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +5.9%
NVDL β†— (Y, F, Z, S) $89.54 10.1M β–² +0.17% (+0.15) β–² +0.56% (+0.50) β–² +4.92% (+4.20) β–² +222.09% (+61.74) β–² +1.74% (+1.53) β–² +9.41% (+7.70) β–² +3014.63%
$311,463
Day
$88.65$93.25
52W
$23.12$118.50
Bollinger Bands
$75.41$85.71$96.02
Width: 24.0% – Inside
Implied Move Β±6.2%
$84.85$94.23
MACD: Bullish
Short: N/A (N/A)
Volatility: 71.7%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.50 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
🟒 CSX β†˜ (Y, F, Z, S) $35.97 10.4M β–² +0.15% (+0.06) β–Ό -1.25% (-0.45) β–Ό -0.92% (-0.33) β–² +32.53% (+8.83) β–Ό -0.79% (-0.28) β–² +14.19% (+4.47) β–² +16.68%
$11,668
Day
$35.69$36.11
52W
$25.91$37.54
Bollinger Bands
$35.82$36.60$37.38
Width: 4.2% – Inside
Implied Move Β±1.9%
$35.37$36.56
MACD: Bearish
Short: 1.7% (2.9d)
Volatility: 16.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: MODERATE (69%)
ATR: $0.44 | SL: $35.09 | R:R: 2.0:1 | Pos: 0.8%
Buy
Upside: +9.9%
WDAY ↓ (Y, F, Z, S) $209.21 658.4K β–² +0.15% (+0.31) β–Ό -3.56% (-7.72) β–Ό -4.89% (-10.75) β–Ό -2.28% (-4.89) β–Ό -2.59% (-5.57) β–Ό -17.68% (-44.93) β–² +29.83%
$12,983
Day
$205.50$209.71
52W
$202.22$283.68
Bollinger Bands
$207.25$217.19$227.13
Width: 9.2% – Inside
Implied Move Β±2.0%
$205.62$212.80
MACD: Bearish
Short: 3.8% (2.9d)
Volatility: 32.1%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $4.57 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +31.7%
C ↑ (Y, F, Z, S) $123.46 5.0M β–² +0.13% (+0.16) β–² +5.34% (+6.25) β–² +13.40% (+14.58) β–² +101.02% (+62.04) β–² +5.81% (+6.77) β–² +74.44% (+52.69) β–² +191.04%
$29,104
Day
$122.21$124.17
52W
$54.39$124.17
Bollinger Bands
$106.43$115.66$124.89
Width: 16.0% – Inside
Implied Move Β±2.2%
$121.11$125.82
MACD: Bullish
Short: 1.6% (1.9d)
Volatility: 24.6%
Opt Dir: Bullish
Bias: Up
πŸš€ 81%
Confidence: HOLD
ATR: $2.66 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -1.0%
NKE ↑ (Y, F, Z, S) $64.61 12.4M β–² +0.13% (+0.08) β–² +5.60% (+3.42) β–Ό -1.89% (-1.25) β–² +17.25% (+9.51) β–² +1.42% (+0.90) β–Ό -8.15% (-5.73) β–Ό -45.28%
$5,472
Day
$63.41$64.65
52W
$51.34$80.55
Bollinger Bands
$56.67$63.34$70.01
Width: 21.1% – Inside
Implied Move Β±4.1%
$62.35$66.88
MACD: Bullish
Short: 3.9% (1.1d)
Volatility: 37.5%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.05 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +19.2%
CSGP β†— (Y, F, Z, S) $66.50 856.2K β–² +0.13% (+0.08) β–Ό -2.00% (-1.36) β–Ό -2.21% (-1.51) β–Ό -14.53% (-11.31) β–Ό -1.09% (-0.74) β–Ό -6.61% (-4.71) β–Ό -13.76%
$8,624
Day
$65.23$66.89
52W
$62.00$97.43
Bollinger Bands
$63.70$66.43$69.16
Width: 8.2% – Inside
Implied Move Β±4.8%
$63.81$69.20
MACD: Bullish
Short: 4.9% (4.7d)
Volatility: 32.1%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.37 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +38.2%
⏸️ TRFK β†’ (Y, F, Z, S) $64.93 414.6K β–² +0.12% (+0.08) β–² +0.39% (+0.25) β–Ό -4.10% (-2.77) β–² +58.91% (+24.07) β–² +1.36% (+0.87) β–² +23.45% (+12.34) β–² +194.18%
$29,418
Day
$64.20$64.93
52W
$37.46$74.22
Bollinger Bands
$61.32$65.00$68.69
Width: 11.3% – Inside
Implied Move Β±22.6%
$52.43$77.42
MACD: Bullish
Short: N/A (N/A)
Volatility: 26.6%
Opt Dir: Neutral
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.17 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ PG ↓ (Y, F, Z, S) $140.52 3.8M β–² +0.11% (+0.15) β–Ό -2.45% (-3.53) β–Ό -2.04% (-2.93) β–Ό -14.05% (-22.96) β–Ό -1.95% (-2.79) β–Ό -10.19% (-15.95) β–Ό -1.52%
$9,848
Day
$140.02$141.37
52W
$138.14$176.43
Bollinger Bands
$138.09$142.96$147.83
Width: 6.8% – Inside
Implied Move Β±1.5%
$138.69$142.35
MACD: Bearish
Short: 0.8% (2.0d)
Volatility: 17.6%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.82 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +20.2%
NVDA β†— (Y, F, Z, S) $188.26 126.6M β–² +0.07% (+0.14) β–² +0.38% (+0.72) β–² +3.21% (+5.85) β–² +94.30% (+91.37) β–² +0.94% (+1.76) β–² +26.02% (+38.87) β–² +1168.24%
$126,824
Day
$187.87$192.17
52W
$86.60$212.18
Bollinger Bands
$171.79$183.49$195.19
Width: 12.8% – Inside
Implied Move Β±2.9%
$183.56$192.96
MACD: Bullish
Short: 1.1% (1.8d)
Volatility: 36.1%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $5.00 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +34.7%
⏸️ PYPL β†˜ (Y, F, Z, S) $59.31 6.3M β–² +0.04% (+0.02) β–² +0.36% (+0.21) β–Ό -4.76% (-2.97) β–Ό -1.38% (-0.83) β–² +1.60% (+0.93) β–Ό -33.60% (-30.01) β–Ό -22.27%
$7,773
Day
$58.98$59.64
52W
$55.72$93.03
Bollinger Bands
$57.99$60.05$62.10
Width: 6.8% – Inside
Implied Move Β±2.4%
$58.10$60.53
MACD: Bullish
Short: 4.7% (3.1d)
Volatility: 30.0%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.15 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +30.3%
VZ β†˜ (Y, F, Z, S) $40.24 15.8M β–² +0.04% (+0.01) β–Ό -1.12% (-0.46) β–Ό -3.47% (-1.44) β–Ό -3.10% (-1.29) β–Ό -1.19% (-0.49) β–² +8.60% (+3.19) β–² +16.74%
$11,674
Day
$40.00$40.46
52W
$35.79$45.09
Bollinger Bands
$39.66$40.44$41.22
Width: 3.9% – Inside
Implied Move Β±1.5%
$39.73$40.75
MACD: Bearish
Short: 2.8% (5.0d)
Volatility: 19.0%
Opt Dir: Bearish
Bias: Down
πŸš€ 1%
Confidence: HOLD
ATR: $0.43 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +18.6%
⏸️ CRWD ↓ (Y, F, Z, S) $456.70 801.0K β–² +0.03% (+0.15) β–Ό -3.98% (-18.93) β–Ό -10.81% (-55.33) β–² +25.92% (+94.01) β–Ό -2.57% (-12.06) β–² +24.66% (+90.35) β–² +382.16%
$48,216
Day
$451.74$457.20
52W
$298.00$566.90
Bollinger Bands
$443.04$484.36$525.67
Width: 17.1% – Inside
Implied Move Β±3.1%
$444.63$468.77
MACD: Bearish
Short: 3.1% (3.6d)
Volatility: 31.7%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $11.21 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +21.4%
⏸️ VRSK β†— (Y, F, Z, S) $220.71 615.8K β–² +0.00% (+0.01) β–Ό -1.63% (-3.65) β–Ό -0.03% (-0.07) β–Ό -21.97% (-62.16) β–Ό -1.33% (-2.98) β–Ό -18.60% (-50.44) β–² +22.99%
$12,299
Day
$217.74$220.92
52W
$196.59$321.24
Bollinger Bands
$213.63$219.28$224.93
Width: 5.2% – Inside
Implied Move Β±2.6%
$215.87$225.56
MACD: Bullish
Short: 2.7% (2.4d)
Volatility: 31.3%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $3.57 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +12.8%
⏸️ FER β†— (Y, F, Z, S) $67.17 1.1M β–Ό -0.01% (-0.01) β–² +3.47% (+2.25) β–² +1.73% (+1.14) β–² +51.96% (+22.97) β–² +3.96% (+2.56) β–² +61.44% (+25.56) β–² +184.13%
$28,413
Day
$66.31$67.17
52W
$39.39$68.09
Bollinger Bands
$64.08$66.05$68.02
Width: 6.0% – Inside
Implied Move Β±4.0%
$64.89$69.45
MACD: Bearish
Short: 0.5% (0.3d)
Volatility: 20.5%
Opt Dir: Bullish
Bias: Up
πŸš€ 24%
Confidence: HOLD
ATR: $1.14 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +5.5%
⏸️ EA β†— (Y, F, Z, S) $204.32 469.1K β–Ό -0.02% (-0.04) β–Ό -0.01% (-0.03) β–² +0.20% (+0.40) β–² +44.44% (+62.86) β–Ό -0.00% (-0.01) β–² +41.34% (+59.76) β–² +67.61%
$16,761
Day
$204.25$204.67
52W
$114.66$204.89
Bollinger Bands
$203.32$204.09$204.86
Width: 0.8% – Inside
Implied Move Β±0.8%
$202.88$205.77
MACD: Bearish
Short: 3.0% (3.9d)
Volatility: 2.9%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.55 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: -1.0%
⏸️ EXC β†˜ (Y, F, Z, S) $43.51 1.9M β–Ό -0.07% (-0.03) β–Ό -0.93% (-0.41) β–Ό -0.68% (-0.30) β–Ό -3.36% (-1.51) β–Ό -0.18% (-0.08) β–² +19.29% (+7.04) β–² +11.44%
$11,144
Day
$43.33$43.79
52W
$35.83$48.09
Bollinger Bands
$43.07$43.65$44.23
Width: 2.7% – Inside
Implied Move Β±2.6%
$42.53$44.49
MACD: Bullish
Short: 5.1% (7.5d)
Volatility: 15.7%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.57 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +13.2%
⏸️ TRI β†˜ (Y, F, Z, S) $129.23 451.4K β–Ό -0.09% (-0.12) β–Ό -2.70% (-3.59) β–Ό -3.14% (-4.19) β–Ό -27.47% (-48.95) β–Ό -2.02% (-2.66) β–Ό -18.54% (-29.42) β–² +15.47%
$11,547
Day
$127.14$129.37
52W
$126.21$216.72
Bollinger Bands
$127.54$131.26$134.99
Width: 5.7% – Inside
Implied Move Β±2.9%
$126.08$132.37
MACD: Bullish
Short: N/A (6.5d)
Volatility: 27.9%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $2.20 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +39.8%
KO ↓ (Y, F, Z, S) $67.87 9.8M β–Ό -0.10% (-0.07) β–Ό -3.14% (-2.20) β–Ό -3.04% (-2.13) β–Ό -4.69% (-3.34) β–Ό -2.92% (-2.04) β–² +14.90% (+8.80) β–² +17.16%
$11,716
Day
$67.73$68.25
52W
$58.88$72.91
Bollinger Bands
$68.28$69.89$71.49
Width: 4.6% – Below Lower
Implied Move Β±1.3%
$67.14$68.60
MACD: Bearish
Short: 0.9% (2.9d)
Volatility: 17.0%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.63 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +17.3%
⏸️ WBD β†’ (Y, F, Z, S) $28.50 7.4M β–Ό -0.12% (-0.03) β–Ό -1.54% (-0.44) β–² +9.26% (+2.42) β–² +258.88% (+20.56) β–Ό -1.13% (-0.32) β–² +163.11% (+17.67) β–² +151.72%
$25,172
Day
$28.35$28.57
52W
$7.52$30.00
Bollinger Bands
$27.33$28.74$30.14
Width: 9.7% – Inside
Implied Move Β±3.2%
$27.73$29.26
MACD: Bearish
Short: 4.8% (2.8d)
Volatility: 39.4%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.60 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: -4.4%
KDP ↓ (Y, F, Z, S) $27.27 4.9M β–Ό -0.18% (-0.05) β–Ό -2.32% (-0.65) β–Ό -4.16% (-1.18) β–Ό -20.88% (-7.20) β–Ό -1.84% (-0.51) β–Ό -9.50% (-2.86) β–Ό -18.26%
$8,174
Day
$26.97$27.30
52W
$24.82$35.33
Bollinger Bands
$26.86$28.17$29.47
Width: 9.2% – Inside
Implied Move Β±2.9%
$26.61$27.93
MACD: Bearish
Short: 3.4% (4.1d)
Volatility: 28.1%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.43 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +25.2%
⏸️ MNST β†˜ (Y, F, Z, S) $75.53 1.2M β–Ό -0.19% (-0.14) β–Ό -2.44% (-1.89) β–² +2.42% (+1.79) β–² +30.19% (+17.52) β–Ό -1.49% (-1.14) β–² +45.60% (+23.66) β–² +47.47%
$14,747
Day
$75.30$75.89
52W
$45.70$78.31
Bollinger Bands
$72.47$75.66$78.85
Width: 8.4% – Inside
Implied Move Β±3.2%
$73.49$77.56
MACD: Bearish
Short: 2.7% (3.9d)
Volatility: 23.4%
Opt Dir: Bearish
Bias: Down
πŸš€ 1%
Confidence: HOLD
ATR: $1.15 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +0.7%
BUZZ ↑ (Y, F, Z, S) $34.17 784.3K β–Ό -0.20% (-0.07) β–² +4.08% (+1.34) β–Ό -1.64% (-0.57) β–² +62.40% (+13.13) β–² +5.17% (+1.68) β–² +29.33% (+7.75) β–² +179.06%
$27,906
Day
$34.00$34.37
52W
$18.82$39.58
Bollinger Bands
$31.63$33.54$35.45
Width: 11.4% – Inside
Implied Move Β±4.6%
$32.84$35.50
MACD: Bullish
Short: N/A (N/A)
Volatility: 38.2%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.77 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ XEL β†’ (Y, F, Z, S) $73.91 1.8M β–Ό -0.22% (-0.16) β–Ό -0.38% (-0.28) β–Ό -3.50% (-2.68) β–² +9.74% (+6.56) β–² +0.07% (+0.05) β–² +17.17% (+10.83) β–² +14.97%
$11,497
Day
$73.56$74.36
52W
$60.60$82.37
Bollinger Bands
$72.25$73.90$75.55
Width: 4.5% – Inside
Implied Move Β±3.0%
$72.02$75.80
MACD: Bullish
Short: 6.2% (5.6d)
Volatility: 15.2%
Opt Dir: Bearish
Bias: Down
πŸš€ 1%
Confidence: HOLD
ATR: $1.17 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +18.4%
⏸️ SHOP β†’ (Y, F, Z, S) $165.79 1.8M β–Ό -0.25% (-0.42) β–² +1.25% (+2.05) β–² +2.92% (+4.71) β–² +103.07% (+84.15) β–² +2.99% (+4.82) β–² +45.12% (+51.55) β–² +349.91%
$44,991
Day
$160.34$165.99
52W
$69.84$182.19
Bollinger Bands
$156.54$164.90$173.26
Width: 10.1% – Inside
Implied Move Β±4.1%
$160.02$171.56
MACD: Bearish
Short: 1.5% (3.4d)
Volatility: 44.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $5.72 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +7.0%
BKR ↑ (Y, F, Z, S) $48.94 3.2M β–Ό -0.26% (-0.13) β–² +6.18% (+2.85) β–Ό -0.53% (-0.26) β–² +31.60% (+11.75) β–² +7.47% (+3.40) β–² +16.71% (+7.01) β–² +75.34%
$17,534
Day
$48.53$49.95
52W
$33.06$51.12
Bollinger Bands
$43.56$46.36$49.17
Width: 12.1% – Inside
Implied Move Β±4.2%
$47.21$50.67
MACD: Bullish
Short: 4.6% (4.7d)
Volatility: 29.1%
Opt Dir: Bullish
Bias: Up
πŸš€ 1%
Confidence: HOLD
ATR: $1.16 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +8.6%
⏸️ GEV β†— (Y, F, Z, S) $679.03 1.5M β–Ό -0.27% (-1.83) β–² +3.02% (+19.88) β–² +7.64% (+48.17) β–² +117.23% (+366.45) β–² +3.97% (+25.94) β–² +83.30% (+308.58) β–² +418.96%
$51,896
Day
$658.96$680.69
52W
$251.66$730.46
Bollinger Bands
$611.55$664.35$717.14
Width: 15.9% – Inside
Implied Move Β±3.7%
$657.53$700.54
MACD: Bearish
Short: 2.6% (3.4d)
Volatility: 59.5%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $24.68 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +11.8%
SHPU β†’ (Y, F, Z, S) $30.80 11.0K β–Ό -0.40% (-0.12) β–² +2.22% (+0.67) β–² +6.08% (+1.77) β–² +3.06% (+0.92) β–² +5.58% (+1.63) β–² +3.06% (+0.92) β–² +3.06%
$10,306
Day
$29.23$30.80
52W
$21.18$38.72
Bollinger Bands
$27.52$30.71$33.90
Width: 20.8% – Inside
MACD: Bearish
Short: N/A (N/A)
Volatility: 89.0%
Opt Dir: Neutral
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.93 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ XLC β†— (Y, F, Z, S) $117.26 3.2M β–Ό -0.41% (-0.49) β–Ό -0.87% (-1.03) β–² +0.44% (+0.51) β–² +34.20% (+29.89) β–Ό -0.39% (-0.46) β–² +19.96% (+19.51) β–² +140.32%
$24,032
Day
$116.55$117.88
52W
$83.26$118.87
Bollinger Bands
$115.14$116.86$118.59
Width: 3.0% – Inside
Implied Move Β±1.2%
$116.02$118.51
MACD: Bearish
Short: N/A (N/A)
Volatility: 11.8%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.01 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ WFC ↑ (Y, F, Z, S) $95.98 6.7M β–Ό -0.42% (-0.40) β–² +1.77% (+1.67) β–² +6.85% (+6.15) β–² +52.45% (+33.02) β–² +2.98% (+2.78) β–² +36.15% (+25.48) β–² +142.54%
$24,254
Day
$95.07$96.15
52W
$57.46$97.76
Bollinger Bands
$89.31$93.30$97.30
Width: 8.6% – Inside
Implied Move Β±1.8%
$94.51$97.45
MACD: Bullish
Short: 1.3% (3.7d)
Volatility: 24.8%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.54 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +1.1%
⏸️ HIMS β†˜ (Y, F, Z, S) $34.56 6.4M β–Ό -0.43% (-0.15) β–² +4.61% (+1.52) β–Ό -11.83% (-4.64) β–² +33.76% (+8.72) β–² +6.44% (+2.09) β–² +28.48% (+7.66) β–² +463.82%
$56,382
Day
$34.37$35.56
52W
$23.97$72.98
Bollinger Bands
$31.61$35.57$39.53
Width: 22.3% – Inside
Implied Move Β±4.8%
$33.14$35.98
MACD: Bullish
Short: 35.2% (5.6d)
Volatility: 70.5%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.48 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +29.2%
TARK β†— (Y, F, Z, S) $53.55 8.4K β–Ό -0.43% (-0.23) β–² +8.08% (+4.01) β–Ό -3.11% (-1.72) β–² +188.71% (+35.00) β–² +10.30% (+5.00) β–² +35.23% (+13.95) β–² +226.11%
$32,611
Day
$53.24$54.74
52W
$14.37$74.00
Bollinger Bands
$47.97$52.64$57.30
Width: 17.7% – Inside
Implied Move Β±11.0%
$48.53$58.56
MACD: Bullish
Short: N/A (N/A)
Volatility: 72.8%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.35 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ TRV β†˜ (Y, F, Z, S) $286.49 617.0K β–Ό -0.44% (-1.27) β–Ό -2.01% (-5.89) β–² +2.40% (+6.71) β–² +16.18% (+39.91) β–Ό -1.23% (-3.57) β–² +20.38% (+48.50) β–² +56.43%
$15,643
Day
$282.08$286.89
52W
$226.54$295.68
Bollinger Bands
$277.81$288.26$298.71
Width: 7.2% – Inside
Implied Move Β±3.2%
$278.72$294.27
MACD: Bearish
Short: 1.7% (3.6d)
Volatility: 16.6%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $4.03 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +4.0%
CSCO ↓ (Y, F, Z, S) $75.22 7.1M β–Ό -0.47% (-0.36) β–Ό -2.30% (-1.77) β–Ό -3.00% (-2.33) β–² +40.78% (+21.79) β–Ό -1.82% (-1.40) β–² +31.11% (+17.85) β–² +69.50%
$16,950
Day
$74.81$75.66
52W
$51.21$80.39
Bollinger Bands
$74.96$77.36$79.76
Width: 6.2% – Inside
Implied Move Β±1.6%
$74.22$76.23
MACD: Bearish
Short: 1.4% (2.5d)
Volatility: 21.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.16 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +13.6%
⏸️ ORLY ↓ (Y, F, Z, S) $90.14 5.1M β–Ό -0.49% (-0.44) β–Ό -1.45% (-1.33) β–Ό -8.85% (-8.75) β–Ό -1.20% (-1.09) β–Ό -1.17% (-1.07) β–² +11.70% (+9.44) β–² +60.48%
$16,048
Day
$89.21$90.27
52W
$79.58$108.72
Bollinger Bands
$88.79$92.59$96.38
Width: 8.2% – Inside
Implied Move Β±2.9%
$87.93$92.35
MACD: Bearish
Short: 1.5% (2.4d)
Volatility: 19.4%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.29 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +21.9%
⏸️ GME ↓ (Y, F, Z, S) $20.61 1.9M β–Ό -0.51% (-0.10) β–² +0.56% (+0.11) β–Ό -10.37% (-2.39) β–Ό -22.99% (-6.16) β–² +2.66% (+0.53) β–Ό -37.19% (-12.20) β–² +25.24%
$12,524
Day
$20.61$20.87
52W
$19.93$35.81
Bollinger Bands
$19.70$21.65$23.59
Width: 18.0% – Inside
Implied Move Β±3.0%
$20.09$21.14
MACD: Bearish
Short: 16.6% (12.8d)
Volatility: 31.3%
Opt Dir: Bullish
Bias: Up
πŸš€ 6%
Confidence: HOLD
ATR: $0.59 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ ARM β†˜ (Y, F, Z, S) $115.49 2.0M β–Ό -0.53% (-0.62) β–² +4.18% (+4.63) β–Ό -18.27% (-25.82) β–² +19.27% (+18.66) β–² +5.65% (+6.18) β–Ό -21.65% (-31.92) β–² +81.62%
$18,162
Day
$115.00$117.85
52W
$80.00$183.16
Bollinger Bands
$97.31$120.10$142.89
Width: 38.0% – Inside
Implied Move Β±4.1%
$111.49$119.49
πŸ”΄ Death Cross
MACD: Bullish
Short: 10.1% (2.7d)
Volatility: 44.6%
Opt Dir: Bearish
Bias: Down
πŸš€ 77%
Confidence: HOLD
ATR: $4.09 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +41.4%
AZO ↓ (Y, F, Z, S) $3248.55 76.6K β–Ό -0.60% (-19.75) β–Ό -4.42% (-150.30) β–Ό -15.02% (-574.11) β–Ό -8.98% (-320.69) β–Ό -4.21% (-142.95) β–Ό -1.36% (-44.91) β–² +30.64%
$13,064
Day
$3213.34$3255.11
52W
$3162.00$4388.11
Bollinger Bands
$3218.09$3426.35$3634.62
Width: 12.2% – Inside
Implied Move Β±3.4%
$3154.93$3342.17
MACD: Bearish
Short: 2.1% (2.2d)
Volatility: 24.8%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $60.65 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +32.9%
SPCE ↓ (Y, F, Z, S) $3.23 3.6M β–Ό -0.61% (-0.02) β–Ό -2.12% (-0.07) β–Ό -25.06% (-1.08) β–² +30.77% (+0.76) β–² +0.63% (+0.02) β–Ό -49.77% (-3.20) β–Ό -95.62%
$438
Day
$3.16$3.36
52W
$2.18$6.74
Bollinger Bands
$2.72$3.40$4.08
Width: 40.1% – Inside
Implied Move Β±8.7%
$2.99$3.47
MACD: Bearish
Short: 23.1% (2.7d)
Volatility: 81.8%
Opt Dir: Bearish
Bias: Down
πŸš€ 5%
Confidence: HOLD
ATR: $0.25 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +27.6%
⏸️ GOOGL β†— (Y, F, Z, S) $314.44 15.7M β–Ό -0.66% (-2.10) β–² +0.19% (+0.59) β–Ό -2.06% (-6.62) β–² +113.52% (+167.18) β–² +0.46% (+1.44) β–² +60.35% (+118.34) β–² +262.74%
$36,274
Day
$311.81$320.94
52W
$140.14$328.62
Bollinger Bands
$300.82$311.61$322.39
Width: 6.9% – Inside
Implied Move Β±2.2%
$308.59$320.29
MACD: Bearish
Short: 1.4% (3.3d)
Volatility: 29.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.20 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +5.7%
⏸️ INSM ↓ (Y, F, Z, S) $174.00 648.3K β–Ό -0.68% (-1.20) β–Ό -0.05% (-0.09) β–Ό -14.71% (-30.00) β–² +150.32% (+104.49) β–Ό -0.02% (-0.04) β–² +161.18% (+107.38) β–² +840.54%
$94,054
Day
$171.00$175.21
52W
$60.40$212.75
Bollinger Bands
$161.40$183.44$205.49
Width: 24.0% – Inside
Implied Move Β±10.4%
$158.58$189.42
MACD: Bearish
Short: 4.6% (2.5d)
Volatility: 55.0%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $7.89 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +23.6%
NFLX β†˜ (Y, F, Z, S) $90.83 31.9M β–Ό -0.69% (-0.63) β–Ό -3.15% (-2.95) β–Ό -9.39% (-9.41) β–Ό -8.06% (-7.96) β–Ό -3.13% (-2.93) β–² +3.01% (+2.65) β–² +187.85%
$28,785
Day
$89.81$91.58
52W
$82.11$134.12
Bollinger Bands
$90.74$93.84$96.94
Width: 6.6% – Inside
Implied Move Β±2.3%
$89.05$92.62
MACD: Bullish
Short: 1.8% (2.2d)
Volatility: 35.2%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.84 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +38.9%
PEP ↓ (Y, F, Z, S) $138.93 3.3M β–Ό -0.71% (-0.99) β–Ό -3.63% (-5.23) β–Ό -4.20% (-6.09) β–² +1.05% (+1.44) β–Ό -3.20% (-4.59) β–Ό -1.22% (-1.72) β–Ό -15.30%
$8,470
Day
$138.70$140.06
52W
$123.93$155.29
Bollinger Bands
$138.67$146.01$153.34
Width: 10.1% – Inside
Implied Move Β±1.4%
$137.33$140.53
MACD: Bearish
Short: 1.6% (2.9d)
Volatility: 16.1%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.78 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +12.2%
⏸️ ZS β†˜ (Y, F, Z, S) $221.08 641.8K β–Ό -0.75% (-1.68) β–Ό -2.79% (-6.34) β–Ό -8.90% (-21.60) β–² +14.14% (+27.38) β–Ό -1.71% (-3.84) β–² +17.15% (+32.37) β–² +112.66%
$21,266
Day
$218.98$223.43
52W
$164.78$336.99
Bollinger Bands
$216.93$231.45$245.97
Width: 12.5% – Inside
Implied Move Β±2.6%
$216.16$226.00
MACD: Bullish
Short: 6.2% (4.7d)
Volatility: 38.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $4.94 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +46.8%
⏸️ GOOG β†— (Y, F, Z, S) $314.84 9.7M β–Ό -0.78% (-2.48) β–² +0.09% (+0.29) β–Ό -2.19% (-7.04) β–² +110.67% (+165.39) β–² +0.33% (+1.04) β–² +59.66% (+117.65) β–² +259.80%
$35,980
Day
$312.34$321.56
52W
$142.27$328.46
Bollinger Bands
$302.22$312.64$323.05
Width: 6.7% – Inside
Implied Move Β±2.0%
$309.39$320.29
MACD: Bearish
Short: N/A (3.5d)
Volatility: 29.1%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $6.16 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +4.2%
⏸️ CEG ↓ (Y, F, Z, S) $352.13 961.0K β–Ό -0.79% (-2.81) β–Ό -1.40% (-4.99) β–Ό -2.14% (-7.69) β–² +83.50% (+160.23) β–Ό -0.32% (-1.14) β–² +33.99% (+89.32) β–² +332.22%
$43,222
Day
$346.74$359.75
52W
$160.75$412.23
Bollinger Bands
$344.11$358.76$373.41
Width: 8.2% – Inside
Implied Move Β±4.5%
$338.58$365.68
MACD: Bearish
Short: 2.3% (3.3d)
Volatility: 47.7%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $15.51 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +14.5%
VRT β†— (Y, F, Z, S) $172.51 5.6M β–Ό -0.82% (-1.43) β–² +4.97% (+8.18) β–Ό -8.73% (-16.51) β–² +155.57% (+105.01) β–² +6.48% (+10.51) β–² +28.85% (+38.63) β–² +1125.66%
$122,566
Day
$162.21$173.13
52W
$53.55$202.37
Bollinger Bands
$149.21$167.66$186.11
Width: 22.0% – Inside
Implied Move Β±5.4%
$164.61$180.42
MACD: Bullish
Short: 2.7% (2.2d)
Volatility: 57.1%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $7.72 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +15.0%
TREE β†— (Y, F, Z, S) $54.00 38.2K β–Ό -0.83% (-0.45) β–² +1.33% (+0.71) β–Ό -2.74% (-1.52) β–² +26.94% (+11.46) β–² +1.71% (+0.91) β–² +35.44% (+14.13) β–² +143.46%
$24,346
Day
$53.24$54.22
52W
$33.50$77.35
Bollinger Bands
$50.28$53.39$56.51
Width: 11.7% – Inside
Implied Move Β±6.6%
$50.99$57.01
MACD: Bullish
Short: 6.2% (5.7d)
Volatility: 51.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.80 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +50.6%
MRVL β†— (Y, F, Z, S) $89.42 20.0M β–Ό -0.90% (-0.81) β–² +3.07% (+2.66) β–Ό -9.59% (-9.49) β–² +81.35% (+40.11) β–² +5.22% (+4.44) β–Ό -24.63% (-29.22) β–² +150.26%
$25,026
Day
$87.32$94.20
52W
$46.97$127.15
Bollinger Bands
$81.02$86.88$92.75
Width: 13.5% – Inside
Implied Move Β±4.8%
$85.81$93.03
MACD: Bullish
Short: 5.1% (3.1d)
Volatility: 54.6%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $3.45 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +31.1%
⏸️ TMUS β†’ (Y, F, Z, S) $198.73 1.2M β–Ό -1.06% (-2.13) β–Ό -2.49% (-5.07) β–Ό -5.20% (-10.90) β–Ό -20.64% (-51.70) β–Ό -2.13% (-4.31) β–Ό -4.97% (-10.39) β–² +38.45%
$13,845
Day
$197.16$200.53
52W
$194.01$273.15
Bollinger Bands
$193.28$199.24$205.19
Width: 6.0% – Inside
Implied Move Β±1.9%
$195.45$202.00
MACD: Bullish
Short: 3.5% (3.2d)
Volatility: 21.6%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $3.16 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +36.3%
ARMG β†˜ (Y, F, Z, S) $6.33 346.8K β–Ό -1.09% (-0.07) β–² +7.84% (+0.46) β–Ό -34.77% (-3.37) β–² +10.51% (+0.60) β–² +11.05% (+0.63) β–Ό -57.58% (-8.59) β–Ό -57.58%
$4,242
Day
$6.28$6.54
52W
$4.09$24.69
Bollinger Bands
$4.12$6.99$9.85
Width: 82.0% – Inside
Implied Move Β±18.6%
$5.33$7.33
MACD: Bullish
Short: N/A (N/A)
Volatility: 89.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.44 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
🟠 TTD β†— (Y, F, Z, S) $39.65 4.8M β–Ό -1.14% (-0.46) β–² +4.02% (+1.53) β–Ό -0.99% (-0.40) β–Ό -16.63% (-7.91) β–² +4.46% (+1.69) β–Ό -68.67% (-86.93) β–Ό -6.24%
$9,376
Day
$39.64$40.90
52W
$35.65$127.59
Bollinger Bands
$35.75$37.96$40.17
Width: 11.7% – Inside
Implied Move Β±3.6%
$38.43$40.88
MACD: Bullish
Short: 12.3% (3.7d)
Volatility: 38.7%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: MODERATE (69%)
ATR: $1.08 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +55.3%
KHC ↓ (Y, F, Z, S) $23.50 7.2M β–Ό -1.14% (-0.27) β–Ό -3.81% (-0.93) β–Ό -3.46% (-0.84) β–Ό -17.88% (-5.12) β–Ό -3.10% (-0.75) β–Ό -17.12% (-4.85) β–Ό -35.93%
$6,407
Day
$23.49$23.81
52W
$23.33$31.87
Bollinger Bands
$23.61$24.29$24.96
Width: 5.5% – Below Lower
Implied Move Β±1.8%
$23.14$23.86
MACD: Bearish
Short: 6.6% (4.3d)
Volatility: 18.9%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.39 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +15.5%
⏸️ TTWO ↑ (Y, F, Z, S) $254.10 240.1K β–Ό -1.25% (-3.21) β–Ό -1.48% (-3.81) β–² +2.51% (+6.22) β–² +23.86% (+48.94) β–Ό -0.75% (-1.93) β–² +34.46% (+65.12) β–² +142.58%
$24,258
Day
$253.58$257.70
52W
$177.35$264.79
Bollinger Bands
$238.52$249.39$260.26
Width: 8.7% – Inside
Implied Move Β±2.0%
$249.76$258.45
MACD: Bullish
Short: 4.6% (6.1d)
Volatility: 25.1%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $4.65 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +9.2%
⏸️ BKNG β†’ (Y, F, Z, S) $5293.17 54.8K β–Ό -1.38% (-74.20) β–Ό -2.47% (-133.98) β–² +1.85% (+96.13) β–² +19.92% (+879.25) β–Ό -1.16% (-62.16) β–² +8.61% (+419.60) β–² +146.86%
$24,686
Day
$5271.02$5356.00
52W
$4074.35$5818.24
Bollinger Bands
$5189.71$5357.35$5524.99
Width: 6.3% – Inside
Implied Move Β±3.8%
$5123.26$5463.09
MACD: Bearish
Short: 2.2% (4.7d)
Volatility: 29.1%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $88.19 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +17.3%
⏸️ GGLL β†˜ (Y, F, Z, S) $97.64 2.6M β–Ό -1.44% (-1.43) β–² +0.10% (+0.10) β–Ό -5.16% (-5.31) β–² +299.20% (+73.18) β–² +0.78% (+0.76) β–² +108.50% (+50.81) β–² +516.78%
$61,678
Day
$96.05$101.68
52W
$22.56$108.15
Bollinger Bands
$89.83$96.44$103.04
Width: 13.7% – Inside
Implied Move Β±5.6%
$93.01$102.27
MACD: Bearish
Short: N/A (N/A)
Volatility: 59.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $3.77 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ XOP β†˜ (Y, F, Z, S) $125.65 1.6M β–Ό -1.45% (-1.85) β–Ό -1.39% (-1.78) β–Ό -7.40% (-10.04) β–² +18.06% (+19.22) β–Ό -0.48% (-0.61) β–Ό -4.68% (-6.17) β–² +3.11%
$10,311
Day
$125.39$127.92
52W
$97.08$142.87
Bollinger Bands
$121.39$127.87$134.35
Width: 10.1% – Inside
Implied Move Β±2.1%
$123.45$127.86
MACD: Bullish
Short: N/A (N/A)
Volatility: 24.1%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $2.87 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
PILL ↓ (Y, F, Z, S) $11.45 363.6K β–Ό -1.46% (-0.17) β–Ό -8.25% (-1.03) β–² +1.05% (+0.12) β–² +157.73% (+7.01) β–Ό -6.91% (-0.85) β–² +67.26% (+4.60) β–² +29.76%
$12,976
Day
$11.36$12.03
52W
$3.59$13.33
Bollinger Bands
$11.34$12.36$13.38
Width: 16.4% – Inside
Implied Move Β±16.2%
$9.88$13.02
MACD: Bearish
Short: N/A (N/A)
Volatility: 60.7%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.67 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
🟠 TPL β†˜ (Y, F, Z, S) $292.99 175.5K β–Ό -1.53% (-4.55) β–² +0.11% (+0.31) β–Ό -4.98% (-15.37) β–Ό -29.27% (-121.25) β–² +2.01% (+5.77) β–Ό -27.90% (-113.39) β–² +31.95%
$13,195
Day
$290.00$301.72
52W
$269.23$485.16
Bollinger Bands
$277.53$293.06$308.60
Width: 10.6% – Inside
Implied Move Β±6.4%
$277.10$308.88
MACD: Bullish
Short: 7.8% (12.0d)
Volatility: 42.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: MODERATE (56%)
ATR: $11.90 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: -4.1%
⏸️ T β†˜ (Y, F, Z, S) $24.30 29.6M β–Ό -1.66% (-0.41) β–Ό -2.06% (-0.51) β–Ό -3.88% (-0.98) β–Ό -5.78% (-1.49) β–Ό -2.17% (-0.54) β–² +12.34% (+2.67) β–² +47.32%
$14,732
Day
$23.87$24.53
52W
$20.72$29.47
Bollinger Bands
$24.02$24.49$24.96
Width: 3.8% – Inside
Implied Move Β±2.3%
$23.82$24.78
MACD: Bullish
Short: 1.6% (3.6d)
Volatility: 18.0%
Opt Dir: Bullish
Bias: Up
πŸš€ 1%
Confidence: HOLD
ATR: $0.33 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +22.9%
AAPL ↓ (Y, F, Z, S) $262.74 19.5M β–Ό -1.69% (-4.52) β–Ό -3.79% (-10.34) β–Ό -5.75% (-16.04) β–² +36.49% (+70.24) β–Ό -3.35% (-9.12) β–² +7.73% (+18.84) β–² +105.76%
$20,576
Day
$262.21$267.01
52W
$168.63$288.62
Bollinger Bands
$265.65$273.34$281.03
Width: 5.6% – Below Lower
Implied Move Β±1.7%
$258.85$266.63
MACD: Bearish
Short: 0.8% (3.0d)
Volatility: 16.8%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $4.07 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +9.5%
⏸️ SMCI β†˜ (Y, F, Z, S) $29.53 14.5M β–Ό -1.80% (-0.54) β–Ό -0.40% (-0.12) β–Ό -14.87% (-5.16) β–² +0.07% (+0.02) β–² +0.89% (+0.26) β–Ό -18.98% (-6.92) β–² +249.92%
$34,992
Day
$29.46$30.66
52W
$25.71$66.44
Bollinger Bands
$27.48$31.38$35.28
Width: 24.8% – Inside
Implied Move Β±5.0%
$28.27$30.79
MACD: Bullish
Short: 19.7% (3.8d)
Volatility: 58.5%
Opt Dir: Bearish
Bias: Down
πŸš€ 5%
Confidence: HOLD
ATR: $1.26 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +64.3%
FANG ↓ (Y, F, Z, S) $144.33 899.8K β–Ό -1.81% (-2.66) β–Ό -4.58% (-6.92) β–Ό -9.00% (-14.27) β–² +11.36% (+14.73) β–Ό -3.99% (-6.00) β–Ό -12.50% (-20.63) β–² +18.45%
$11,845
Day
$143.84$148.01
52W
$111.64$175.92
Bollinger Bands
$141.92$151.28$160.64
Width: 12.4% – Inside
Implied Move Β±42.0%
$92.77$195.89
MACD: Bearish
Short: 4.9% (5.6d)
Volatility: 27.4%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ 1%
Confidence: HOLD
ATR: $4.75 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +24.1%
CCEP ↓ (Y, F, Z, S) $85.72 670.3K β–Ό -2.10% (-1.83) β–Ό -6.41% (-5.88) β–Ό -5.43% (-4.93) β–Ό -0.55% (-0.47) β–Ό -5.49% (-4.97) β–² +16.24% (+11.98) β–² +64.30%
$16,430
Day
$85.68$86.92
52W
$71.51$99.10
Bollinger Bands
$87.07$90.57$94.07
Width: 7.7% – Below Lower
Implied Move Β±4.1%
$82.75$88.70
MACD: Bearish
Short: 4.2% (4.8d)
Volatility: 19.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.26 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +13.2%
DJT ↑ (Y, F, Z, S) $14.08 6.4M β–Ό -2.15% (-0.31) β–² +12.01% (+1.51) β–² +23.94% (+2.72) β–Ό -37.39% (-8.41) β–² +6.34% (+0.84) β–Ό -61.07% (-22.09) β–Ό -11.56%
$8,844
Day
$14.05$14.60
52W
$10.18$43.46
Bollinger Bands
$9.26$12.79$16.31
Width: 55.1% – Inside
Implied Move Β±6.0%
$13.37$14.79
MACD: Bullish
Short: 7.4% (0.6d)
Volatility: 104.0%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $1.32 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ CRWV β†˜ (Y, F, Z, S) $75.14 20.1M β–Ό -2.24% (-1.72) β–² +1.68% (+1.24) β–Ό -14.90% (-13.16) β–² +112.17% (+39.73) β–² +4.93% (+3.53) β–² +87.85% (+35.14) β–² +87.85%
$18,785
Day
$73.88$78.80
52W
$33.51$187.00
Bollinger Bands
$63.72$78.01$92.30
Width: 36.6% – Inside
Implied Move Β±7.6%
$70.26$80.02
MACD: Bullish
Short: 19.3% (1.9d)
Volatility: 91.9%
Opt Dir: Bearish
Bias: Down
πŸš€ 35%
Confidence: HOLD
ATR: $5.76 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +68.5%
⏸️ PM ↓ (Y, F, Z, S) $156.27 1.8M β–Ό -2.25% (-3.59) β–Ό -3.51% (-5.68) β–² +6.69% (+9.80) β–Ό -1.11% (-1.76) β–Ό -2.57% (-4.13) β–² +33.71% (+39.40) β–² +73.34%
$17,334
Day
$156.20$160.20
52W
$112.16$181.91
Bollinger Bands
$146.84$156.50$166.16
Width: 12.3% – Inside
Implied Move Β±2.1%
$153.51$159.03
MACD: Bearish
Short: 1.1% (3.1d)
Volatility: 24.1%
Opt Dir: Bearish
Bias: Down
πŸš€ 3%
Confidence: HOLD
ATR: $2.77 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +17.0%
⏸️ XOM ↑ (Y, F, Z, S) $122.50 10.3M β–Ό -2.28% (-2.86) β–² +1.25% (+1.51) β–² +5.11% (+5.96) β–² +19.48% (+19.97) β–² +1.79% (+2.16) β–² +17.87% (+18.57) β–² +22.87%
$12,287
Day
$122.26$125.80
52W
$95.18$125.93
Bollinger Bands
$114.17$119.17$124.18
Width: 8.4% – Inside
Implied Move Β±1.8%
$120.64$124.36
MACD: Bullish
Short: 1.2% (2.8d)
Volatility: 18.5%
Opt Dir: Bearish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $2.15 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +7.2%
⏸️ XLE ↑ (Y, F, Z, S) $45.72 41.8M β–Ό -2.50% (-1.17) β–² +1.69% (+0.76) β–² +0.41% (+0.19) β–² +18.13% (+7.02) β–² +2.26% (+1.01) β–² +8.53% (+3.59) β–² +15.59%
$11,559
Day
$45.66$47.03
52W
$36.32$47.32
Bollinger Bands
$43.18$44.84$46.50
Width: 7.4% – Inside
Implied Move Β±1.7%
$45.07$46.37
MACD: Bullish
Short: N/A (N/A)
Volatility: 18.8%
Opt Dir: Bullish
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.81 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
FICO ↓ (Y, F, Z, S) $1609.32 169.8K β–Ό -2.67% (-44.16) β–Ό -7.81% (-136.43) β–Ό -10.52% (-189.21) β–Ό -11.38% (-206.76) β–Ό -4.81% (-81.30) β–Ό -18.23% (-358.69) β–² +167.36%
$26,736
Day
$1573.29$1636.85
52W
$1300.00$2217.60
Bollinger Bands
$1626.54$1743.33$1860.12
Width: 13.4% – Below Lower
Implied Move Β±5.0%
$1540.30$1678.34
MACD: Bearish
Short: 5.9% (5.1d)
Volatility: 33.0%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $48.05 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +25.7%
LB ↓ (Y, F, Z, S) $45.35 287.5K β–Ό -2.82% (-1.31) β–Ό -9.71% (-4.88) β–Ό -23.89% (-14.24) β–Ό -30.33% (-19.74) β–Ό -7.44% (-3.65) β–Ό -37.73% (-27.47) β–² +97.42%
$19,742
Day
$45.12$46.65
52W
$45.12$87.17
Bollinger Bands
$45.66$52.31$58.97
Width: 25.4% – Below Lower
Implied Move Β±8.2%
$42.17$48.52
MACD: Bearish
Short: 12.9% (7.2d)
Volatility: 73.1%
Opt Dir: Bearish
Bias: Down
πŸš€ 1%
Confidence: HOLD
ATR: $2.32 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +63.7%
⏸️ COIN β†’ (Y, F, Z, S) $247.73 5.3M β–Ό -2.82% (-7.19) β–² +6.96% (+16.13) β–Ό -8.16% (-22.00) β–² +41.56% (+72.73) β–² +9.55% (+21.59) β–Ό -13.91% (-40.03) β–² +644.82%
$74,482
Day
$245.84$257.39
52W
$142.58$444.65
Bollinger Bands
$218.72$249.61$280.50
Width: 24.7% – Inside
Implied Move Β±4.1%
$238.99$256.46
MACD: Bullish
Short: 8.0% (2.1d)
Volatility: 60.9%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $10.32 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +45.6%
⏸️ CMCSA β†’ (Y, F, Z, S) $27.33 24.6M β–Ό -2.83% (-0.80) β–Ό -2.68% (-0.75) β–² +6.80% (+1.74) β–Ό -11.47% (-3.54) β–Ό -2.42% (-0.68) β–Ό -19.26% (-6.52) β–Ό -15.95%
$8,405
Day
$27.28$27.94
52W
$24.13$34.97
Bollinger Bands
$24.95$27.20$29.45
Width: 16.6% – Inside
Implied Move Β±8.1%
$25.46$29.21
MACD: Bullish
Short: 1.5% (1.7d)
Volatility: 28.3%
Opt Dir: Bullish
Bias: Up
πŸš€ 49%
Confidence: HOLD
ATR: $0.70 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: +24.4%
GPRO ↓ (Y, F, Z, S) $1.46 1.4M β–Ό -3.00% (-0.04) β–Ό -1.02% (-0.01) β–Ό -20.49% (-0.38) β–² +194.53% (+0.96) β–² +3.19% (+0.05) β–² +26.52% (+0.31) β–Ό -72.29%
$2,771
Day
$1.43$1.51
52W
$0.40$3.05
Bollinger Bands
$1.33$1.60$1.87
Width: 33.5% – Inside
Implied Move Β±12.4%
$1.30$1.61
MACD: Bearish
Short: 14.4% (7.9d)
Volatility: 69.3%
Opt Dir: Bearish
Bias: Up
πŸš€ 4%
Confidence: HOLD
ATR: $0.08 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: -10.7%
AMD β†˜ (Y, F, Z, S) $214.26 25.0M β–Ό -3.09% (-6.82) β–Ό -0.50% (-1.08) β–Ό -1.70% (-3.71) β–² +150.41% (+128.70) β–² +0.04% (+0.10) β–² +65.38% (+84.71) β–² +234.98%
$33,498
Day
$211.37$222.92
52W
$76.48$267.08
Bollinger Bands
$201.04$214.48$227.91
Width: 12.5% – Inside
Implied Move Β±3.9%
$207.07$221.44
MACD: Bullish
Short: 2.2% (1.4d)
Volatility: 55.3%
Opt Dir: Bearish
Bias: Down
πŸš€ 1%
Confidence: HOLD
ATR: $7.91 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +32.5%
LAYS β†˜ (Y, F, Z, S) $45.82 843 β–Ό -3.20% (-1.51) β–Ό -0.32% (-0.15) β–Ό -0.39% (-0.18) β–² +306.40% (+34.54) β–² +0.08% (+0.04) β–² +181.84% (+29.56) β–² +181.84%
$28,184
Day
$45.82$47.37
52W
$10.70$67.45
Bollinger Bands
$40.21$45.20$50.20
Width: 22.1% – Inside
MACD: Bullish
Short: N/A (N/A)
Volatility: 80.8%
Opt Dir: Neutral
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $2.34 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ HOOD β†˜ (Y, F, Z, S) $119.28 9.6M β–Ό -3.21% (-3.96) β–² +3.32% (+3.83) β–Ό -9.60% (-12.67) β–² +199.32% (+79.43) β–² +5.46% (+6.18) β–² +179.28% (+76.57) β–² +1345.82%
$144,582
Day
$118.05$123.64
52W
$29.66$153.86
Bollinger Bands
$107.37$121.23$135.08
Width: 22.9% – Inside
Implied Move Β±4.8%
$114.43$124.13
MACD: Bullish
Short: 5.3% (2.3d)
Volatility: 69.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $5.19 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +26.5%
AAPU ↓ (Y, F, Z, S) $31.33 1.7M β–Ό -3.39% (-1.10) β–Ό -7.53% (-2.55) β–Ό -11.79% (-4.19) β–² +68.24% (+12.71) β–Ό -6.70% (-2.25) β–Ό -5.21% (-1.72) β–² +143.53%
$24,353
Day
$31.21$32.12
52W
$14.73$38.13
Bollinger Bands
$32.00$34.05$36.09
Width: 12.0% – Below Lower
Implied Move Β±25.0%
$24.67$37.99
MACD: Bearish
Short: N/A (N/A)
Volatility: 33.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.98 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
KOSS β†˜ (Y, F, Z, S) $4.32 85.7K β–Ό -3.57% (-0.16) β–² +2.86% (+0.12) β–Ό -10.37% (-0.50) β–² +0.47% (+0.02) β–² +4.35% (+0.18) β–Ό -43.68% (-3.35) β–Ό -18.03%
$8,197
Day
$4.32$4.65
52W
$4.00$8.59
Bollinger Bands
$4.14$4.47$4.80
Width: 14.8% – Inside
MACD: Bullish
Short: 3.5% (2.0d)
Volatility: 58.1%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $0.24 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ CRDO ↓ (Y, F, Z, S) $135.15 4.8M β–Ό -3.63% (-5.09) β–Ό -6.74% (-9.77) β–Ό -23.23% (-40.89) β–² +287.69% (+100.29) β–Ό -6.07% (-8.74) β–² +76.34% (+58.51) β–² +966.69%
$106,669
Day
$130.94$139.88
52W
$29.09$213.80
Bollinger Bands
$125.80$147.78$169.77
Width: 29.8% – Inside
Implied Move Β±6.8%
$127.37$142.93
MACD: Bearish
Short: 4.1% (1.5d)
Volatility: 88.1%
Opt Dir: Bearish
Bias: Down
πŸš€ 1%
Confidence: HOLD
ATR: $8.32 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Buy
Upside: +56.6%
BE β†— (Y, F, Z, S) $99.79 6.6M β–Ό -3.93% (-4.08) β–² +14.36% (+12.53) β–Ό -16.27% (-19.39) β–² +509.22% (+83.41) β–² +14.85% (+12.90) β–² +291.64% (+74.31) β–² +424.38%
$52,438
Day
$98.41$107.44
52W
$15.15$147.86
Bollinger Bands
$75.04$94.02$112.99
Width: 40.4% – Inside
Implied Move Β±8.6%
$92.52$107.06
MACD: Bullish
Short: 11.3% (2.4d)
Volatility: 127.6%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $7.47 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +11.4%
APP ↓ (Y, F, Z, S) $607.47 3.1M β–Ό -4.02% (-25.44) β–Ό -12.43% (-86.24) β–Ό -12.21% (-84.47) β–² +166.28% (+379.34) β–Ό -9.85% (-66.35) β–² +71.15% (+252.54) β–² +6149.69%
$624,969
Day
$596.48$625.46
52W
$200.50$745.61
Bollinger Bands
$614.28$687.97$761.66
Width: 21.4% – Below Lower
Implied Move Β±4.8%
$582.71$632.23
MACD: Bearish
Short: 5.2% (4.6d)
Volatility: 54.8%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $32.13 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +21.8%
CRWG β†˜ (Y, F, Z, S) $2.95 18.9M β–Ό -4.37% (-0.13) β–² +1.55% (+0.04) β–Ό -34.46% (-1.55) β–Ό -81.73% (-13.22) β–² +9.04% (+0.24) β–Ό -81.73% (-13.22) β–Ό -81.73%
$1,827
Day
$2.85$3.24
52W
$2.27$18.40
Bollinger Bands
$2.00$3.36$4.73
Width: 81.2% – Inside
Implied Move Β±23.4%
$2.37$3.54
MACD: Bullish
Short: N/A (N/A)
Volatility: 184.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $0.46 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
TSLA ↓ (Y, F, Z, S) $431.35 59.3M β–Ό -4.50% (-20.32) β–Ό -5.08% (-23.08) β–Ό -5.20% (-23.65) β–² +89.60% (+203.85) β–Ό -4.08% (-18.37) β–² +4.94% (+20.30) β–² +281.52%
$38,152
Day
$428.78$446.36
52W
$214.25$498.83
Bollinger Bands
$425.26$462.94$500.63
Width: 16.3% – Inside
Implied Move Β±3.4%
$418.93$443.77
MACD: Bearish
Short: 2.6% (1.1d)
Volatility: 45.5%
Opt Dir: Neutral
Bias: Up
πŸš€ N/A
Confidence: HOLD
ATR: $17.74 | SL: $nan | R:R: nan:1 | Pos: nan%
Hold
Upside: -6.9%
⏸️ CVX β†— (Y, F, Z, S) $156.27 12.5M β–Ό -4.63% (-7.58) β–² +2.60% (+3.96) β–² +4.18% (+6.27) β–² +20.93% (+27.05) β–² +2.53% (+3.86) β–² +11.04% (+15.53) β–² +0.40%
$10,040
Day
$156.27$165.05
52W
$127.59$165.75
Bollinger Bands
$143.51$151.17$158.83
Width: 10.1% – Inside
Implied Move Β±2.1%
$153.49$159.05
MACD: Bullish
Short: 0.9% (1.8d)
Volatility: 22.6%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $3.18 | SL: $nan | R:R: nan:1 | Pos: nan%
Buy
Upside: +9.3%
⏸️ CONL β†’ (Y, F, Z, S) $17.43 10.5M β–Ό -5.50% (-1.02) β–² +13.21% (+2.03) β–Ό -18.03% (-3.84) β–² +28.48% (+3.86) β–² +19.01% (+2.78) β–Ό -62.87% (-29.52) β–² +324.64%
$42,464
Day
$17.13$18.81
52W
$9.21$72.35
Bollinger Bands
$13.29$18.07$22.84
Width: 52.9% – Inside
Implied Move Β±8.3%
$16.20$18.67
MACD: Bullish
Short: N/A (N/A)
Volatility: 120.8%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.42 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
⏸️ MSTR β†˜ (Y, F, Z, S) $154.92 16.3M β–Ό -5.95% (-9.80) β–Ό -0.44% (-0.69) β–Ό -13.45% (-24.07) β–Ό -51.25% (-162.84) β–² +1.95% (+2.97) β–Ό -59.13% (-224.17) β–² +865.53%
$96,553
Day
$154.67$166.82
52W
$149.75$457.22
Bollinger Bands
$142.55$165.48$188.41
Width: 27.7% – Inside
Implied Move Β±5.5%
$147.74$162.10
MACD: Bullish
Short: 10.9% (1.8d)
Volatility: 63.1%
Opt Dir: Bearish
Bias: Down
πŸš€ 9%
Confidence: HOLD
ATR: $8.50 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: +216.0%
AMDL β†˜ (Y, F, Z, S) $15.51 19.8M β–Ό -6.20% (-1.03) β–Ό -1.30% (-0.20) β–Ό -5.23% (-0.86) β–² +372.71% (+12.23) β–Ό -0.29% (-0.05) β–² +76.59% (+6.73) β–Ό -39.22%
$6,078
Day
$15.07$16.74
52W
$2.77$25.86
Bollinger Bands
$13.74$15.69$17.65
Width: 24.9% – Inside
Implied Move Β±7.1%
$14.57$16.44
MACD: Bullish
Short: N/A (N/A)
Volatility: 110.4%
Opt Dir: Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.12 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A
TSLL ↓ (Y, F, Z, S) $17.50 139.1M β–Ό -8.95% (-1.72) β–Ό -10.39% (-2.03) β–Ό -12.08% (-2.41) β–² +170.11% (+11.02) β–Ό -8.42% (-1.61) β–Ό -34.61% (-9.26) β–² +268.71%
$36,871
Day
$17.29$18.60
52W
$6.01$30.05
Bollinger Bands
$17.07$20.42$23.76
Width: 32.8% – Inside
Implied Move Β±6.3%
$16.57$18.43
MACD: Bearish
Short: N/A (N/A)
Volatility: 90.3%
Opt Dir: Strong Bearish
Bias: Down
πŸš€ N/A
Confidence: HOLD
ATR: $1.57 | SL: $nan | R:R: nan:1 | Pos: nan%
Strong Sell
Upside: N/A

RKLX ↑ (Y, F, Z, S) $57.30

β–² +15.69% (+7.77)
5D: β–² +40.82% (+16.61)
1M: β–² +164.06% (+35.60)
6M: β–² +980.39% (+52.00)
YTD: β–² +44.01% (+17.51)
1Y: β–² +986.34% (+52.03)
Volume: 4.2M
52W: $3.32 - $57.42
AUM: 78.77M
Volatility: 184.2%
BB: Inside (106.1%)
MACD: +6.390 | +4.879 (Bullish)
MA: 50d: $30.29 | 200d: $21.88
P/C Vol Ratio: 2.02
Opt Dir: Bearish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $7.33 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $57.30
Current
Stop Loss: $42.64
-25.6%
Target: $86.63
+51.2%
Risk/Reward: 25.6% / 51.2% (1:2)
Day
$44.40$57.42
52W
$3.32$57.42
Bollinger Bands
$17.89$38.11$58.34
Width: 106.1% – Inside
Implied Move Β±5.9%
$54.41$60.19

WDC ↑ (Y, F, Z, S) $217.35

β–² +15.69% (+29.47)
5D: β–² +23.45% (+41.29)
1M: β–² +28.69% (+48.46)
6M: β–² +506.74% (+181.53)
YTD: β–² +26.17% (+45.08)
1Y: β–² +339.69% (+167.92)
Volume: 14.6M
52W: $28.72 - $219.00
Market Cap: 74.51B
Volatility: 73.8%
BB: Above Upper (23.9%)
MACD: +8.979 | +7.000 (Bullish)
MA: 50d: $164.11 | 200d: $93.76
P/C Vol Ratio: 0.28
Opt Dir: Bullish   Short: 10.4% (3.7d)
P/E: 30.61
EPS: 7.10
1y Target Est: $187.21
Upside %: -13.9%
Div: $0.50 (0.27%)
Annual Dividend: $0.50
Ex-Dividend Date: Dec 03, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.03%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $11.17 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $217.35
Current
Stop Loss: $195.01
-10.3%
Target: $262.02
+20.6%
Risk/Reward: 10.3% / 20.6% (1:2)
Day
$189.34$219.00
52W
$28.72$219.00
Bollinger Bands
$158.05$179.54$201.03
Width: 23.9% – Above Upper
Implied Move Β±3.9%
$210.10$224.60

MUU ↑ (Y, F, Z, S) $137.10

β–² +15.16% (+18.05)
5D: β–² +29.31% (+31.08)
1M: β–² +91.26% (+65.41)
6M: β–² +1815.68% (+129.94)
YTD: β–² +36.09% (+36.36)
1Y: β–² +592.53% (+117.30)
Volume: 1.4M
52W: $6.42 - $137.87
AUM: 297.24M
Volatility: 137.1%
BB: Above Upper (82.8%)
MACD: +13.474 | +9.301 (Bullish)
MA: 50d: $79.51 | 200d: $37.08
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 56.65
EPS: 2.42
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.45%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $10.79 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $137.10
Current
Stop Loss: $115.51
-15.7%
Target: $180.27
+31.5%
Risk/Reward: 15.7% / 31.5% (1:2)
Day
$124.97$137.87
52W
$6.42$137.87
Bollinger Bands
$54.48$92.95$131.43
Width: 82.8% – Above Upper

STX ↑ (Y, F, Z, S) $326.02

β–² +12.49% (+36.19)
5D: β–² +16.40% (+45.94)
1M: β–² +17.25% (+47.96)
6M: β–² +345.89% (+252.90)
YTD: β–² +18.38% (+50.63)
1Y: β–² +272.96% (+238.61)
Volume: 2.6M
52W: $62.49 - $327.50
Market Cap: 71.03B
Volatility: 73.3%
BB: Above Upper (15.9%)
MACD: +7.609 | +6.229 (Bullish)
MA: 50d: $272.39 | 200d: $176.45
P/C Vol Ratio: 0.51
Opt Dir: Bullish   Short: 7.2% (3.0d)
P/E: 41.80
EPS: 7.80
1y Target Est: $297.09
Upside %: -8.9%
Div: $2.96 (1.02%)
Annual Dividend: $2.96
Ex-Dividend Date: Dec 23, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.37%
Dividend Growth: N/A
Earnings: Oct 28, 2025
Signal Confidence: HOLD
ATR(14): $14.85 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $326.02
Current
Stop Loss: $296.33
-9.1%
Target: $385.40
+18.2%
Risk/Reward: 9.1% / 18.2% (1:2)
Day
$293.35$327.50
52W
$62.49$327.50
Bollinger Bands
$265.57$288.53$311.49
Width: 15.9% – Above Upper
Implied Move Β±2.4%
$319.29$332.75

MCHP ↑ (Y, F, Z, S) $74.32

β–² +10.82% (+7.26)
5D: β–² +14.90% (+9.64)
1M: β–² +12.92% (+8.51)
6M: β–² +92.97% (+35.80)
YTD: β–² +16.63% (+10.60)
1Y: β–² +31.52% (+17.81)
Volume: 7.6M
52W: $33.33 - $75.98
Market Cap: 40.16B
Volatility: 49.9%
BB: Above Upper (14.4%)
MACD: +2.033 | +1.715 (Bullish)
MA: 50d: $60.65 | 200d: $60.52
P/C Vol Ratio: 0.05
Opt Dir: Bearish   Short: 5.3% (3.7d)
P/E: 29.31
EPS: -0.46
1y Target Est: $76.20
Upside %: +2.5%
Div: $1.82 (2.71%)
Annual Dividend: $1.82
Ex-Dividend Date: Nov 23, 2025
Payout Frequency: Quarterly
Payout Ratio: 3.18%
Dividend Growth: N/A
Earnings: Feb 05, 2026
Signal Confidence: HOLD
ATR(14): $2.33 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $74.32
Current
Stop Loss: $69.66
-6.3%
Target: $83.63
+12.5%
Risk/Reward: 6.3% / 12.5% (1:2)
Day
$70.75$74.61
52W
$33.33$75.98
Bollinger Bands
$61.52$66.29$71.05
Width: 14.4% – Above Upper
Implied Move Β±1.5%
$73.38$75.25

SOXL ↑ (Y, F, Z, S) $53.68

β–² +9.06% (+4.46)
5D: β–² +22.92% (+10.01)
1M: β–² +15.44% (+7.18)
6M: β–² +518.43% (+45.00)
YTD: β–² +27.72% (+11.65)
1Y: β–² +66.31% (+21.40)
Volume: 75.3M
52W: $7.21 - $53.89
AUM: 13.62B
Volatility: 105.0%
BB: Above Upper (38.1%)
MACD: +1.778 | +0.879 (Bullish)
MA: 50d: $42.95 | 200d: $28.63
P/C Vol Ratio: 1.00
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 50.61
EPS: 1.06
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.53%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $3.03 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $53.68
Current
Stop Loss: $47.62
-11.3%
Target: $65.80
+22.6%
Risk/Reward: 11.3% / 22.6% (1:2)
Day
$51.07$53.89
52W
$7.21$53.89
Bollinger Bands
$35.97$44.45$52.92
Width: 38.1% – Above Upper
Implied Move Β±7.8%
$50.11$57.25

AMZU ↑ (Y, F, Z, S) $38.43

β–² +8.16% (+2.90)
5D: β–² +8.31% (+2.95)
1M: β–² +10.35% (+3.60)
6M: β–² +81.88% (+17.30)
YTD: β–² +9.96% (+3.48)
1Y: β–Ό -9.48% (-4.02)
Volume: 3.5M
52W: $20.14 - $47.61
AUM: 321.53M
Volatility: 67.3%
BB: Above Upper (15.9%)
MACD: +0.228 | -0.125 (Bullish)
MA: 50d: $35.95 | 200d: $33.59
P/C Vol Ratio: 0.45
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 33.60
EPS: 1.14
1y Target Est: N/A
Upside %: N/A
Div: N/A (2.54%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.37 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $38.43
Current
Stop Loss: $35.70
-7.1%
Target: $43.89
+14.2%
Risk/Reward: 7.1% / 14.2% (1:2)
Day
$35.27$38.53
52W
$20.14$47.61
Bollinger Bands
$31.87$34.63$37.38
Width: 15.9% – Above Upper
Implied Move Β±7.3%
$36.03$40.83

NXPI ↑ (Y, F, Z, S) $242.05

β–² +8.12% (+18.17)
5D: β–² +10.03% (+22.07)
1M: β–² +6.66% (+15.11)
6M: β–² +43.08% (+72.88)
YTD: β–² +11.51% (+24.99)
1Y: β–² +15.55% (+32.58)
Volume: 1.5M
52W: $146.07 - $250.74
Market Cap: 61.02B
Volatility: 38.9%
BB: Above Upper (9.8%)
MACD: +3.805 | +3.728 (Bullish)
MA: 50d: $212.65 | 200d: $209.88
P/C Vol Ratio: 1.53
Opt Dir: Bearish   Short: 3.5% (2.8d)
P/E: 29.96
EPS: 8.08
1y Target Est: $260.67
Upside %: +7.7%
Div: $4.06 (1.81%)
Annual Dividend: $4.06
Ex-Dividend Date: Dec 09, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.50%
Dividend Growth: N/A
Earnings: Feb 02, 2026
Signal Confidence: HOLD
ATR(14): $6.51 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $242.05
Current
Stop Loss: $229.04
-5.4%
Target: $268.08
+10.8%
Risk/Reward: 5.4% / 10.8% (1:2)
Day
$231.11$242.93
52W
$146.07$250.74
Bollinger Bands
$215.23$226.34$237.44
Width: 9.8% – Above Upper
Implied Move Β±1.3%
$239.32$244.78

RKLB ↑ (Y, F, Z, S) $84.31

β–² +7.90% (+6.17)
5D: β–² +19.68% (+13.86)
1M: β–² +71.87% (+35.26)
6M: β–² +352.07% (+65.66)
YTD: β–² +20.86% (+14.55)
1Y: β–² +192.75% (+55.51)
Volume: 20.9M
52W: $14.71 - $84.47
Market Cap: 45.04B
Volatility: 92.1%
BB: Inside (60.2%)
MACD: +7.023 | +5.754 (Bullish)
MA: 50d: $56.83 | 200d: $42.31
P/C Vol Ratio: 0.37
Opt Dir: Bullish   Short: 8.7% (1.3d)
P/E: -722.65
EPS: -0.38
1y Target Est: $68.75
Upside %: -18.5%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 10, 2025
Signal Confidence: HOLD
ATR(14): $6.37 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $84.31
Current
Stop Loss: $71.56
-15.1%
Target: $109.81
+30.2%
Risk/Reward: 15.1% / 30.2% (1:2)
Day
$74.05$84.47
52W
$14.71$84.47
Bollinger Bands
$46.61$66.71$86.80
Width: 60.2% – Inside
Implied Move Β±3.1%
$82.06$86.56

MU ↑ (Y, F, Z, S) $335.91

β–² +7.61% (+23.76)
5D: β–² +14.79% (+43.28)
1M: β–² +41.66% (+98.79)
6M: β–² +404.30% (+269.30)
YTD: β–² +17.69% (+50.50)
1Y: β–² +239.52% (+236.97)
Volume: 36.7M
52W: $61.42 - $336.66
Market Cap: 378.07B
Volatility: 68.7%
BB: Above Upper (43.9%)
MACD: +21.843 | +16.071 (Bullish)
MA: 50d: $247.04 | 200d: $151.22
P/C Vol Ratio: 0.65
Opt Dir: Bullish   Short: 2.2% (0.9d)
P/E: 31.93
EPS: 10.52
1y Target Est: $305.29
Upside %: -9.1%
Div: $0.46 (0.15%)
Annual Dividend: $0.46
Ex-Dividend Date: Dec 28, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.04%
Dividend Growth: N/A
Earnings: Dec 17, 2025
Signal Confidence: HOLD
ATR(14): $16.36 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $335.91
Current
Stop Loss: $303.19
-9.7%
Target: $401.36
+19.5%
Risk/Reward: 9.7% / 19.5% (1:2)
Day
$318.28$336.52
52W
$61.42$336.66
Bollinger Bands
$212.00$271.57$331.14
Width: 43.9% – Above Upper
Implied Move Β±5.1%
$321.35$350.47

LRCX ↑ (Y, F, Z, S) $207.95

β–² +6.77% (+13.19)
5D: β–² +19.66% (+34.17)
1M: β–² +31.03% (+49.25)
6M: β–² +235.34% (+145.93)
YTD: β–² +21.48% (+36.77)
1Y: β–² +169.11% (+130.67)
Volume: 8.9M
52W: $55.98 - $210.45
Market Cap: 262.23B
Volatility: 51.0%
BB: Above Upper (28.2%)
MACD: +9.322 | +6.450 (Bullish)
MA: 50d: $162.25 | 200d: $113.49
P/C Vol Ratio: 0.91
Opt Dir: Neutral   Short: 2.9% (3.0d)
P/E: 45.80
EPS: 4.54
1y Target Est: $169.83
Upside %: -18.3%
Div: $1.04 (0.53%)
Annual Dividend: $1.04
Ex-Dividend Date: Dec 02, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.21%
Dividend Growth: N/A
Earnings: Oct 22, 2025
Signal Confidence: HOLD
ATR(14): $7.60 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $207.95
Current
Stop Loss: $192.75
-7.3%
Target: $238.33
+14.6%
Risk/Reward: 7.3% / 14.6% (1:2)
Day
$198.40$210.45
52W
$55.98$210.45
Bollinger Bands
$148.61$173.00$197.38
Width: 28.2% – Above Upper
Implied Move Β±1.9%
$204.55$211.35

AXON ↑ (Y, F, Z, S) $629.30

β–² +6.45% (+38.14)
5D: β–² +10.00% (+57.19)
1M: β–² +14.22% (+78.35)
6M: β–² +16.12% (+87.37)
YTD: β–² +10.81% (+61.37)
1Y: β–² +10.27% (+58.59)
Volume: 414.3K
52W: $469.24 - $885.92
Market Cap: 49.99B
Volatility: 45.6%
BB: Above Upper (14.5%)
MACD: +4.362 | -1.379 (Bullish)
MA: 50d: $591.18 | 200d: $680.64
P/C Vol Ratio: 4.26
Opt Dir: Bearish   Short: 3.1% (2.8d)
P/E: 201.05
EPS: 3.13
1y Target Est: $819.56
Upside %: +30.2%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $21.24 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $629.30
Current
Stop Loss: $586.81
-6.8%
Target: $714.27
+13.5%
Risk/Reward: 6.8% / 13.5% (1:2)
Day
$595.00$629.88
52W
$469.24$885.92
Bollinger Bands
$533.36$574.93$616.49
Width: 14.5% – Above Upper
Implied Move Β±5.7%
$598.78$659.82

PLTU ↓ (Y, F, Z, S) $74.39

β–² +6.23% (+4.36)
5D: β–Ό -2.30% (-1.75)
1M: β–Ό -3.79% (-2.93)
6M: β–² +198.88% (+49.50)
YTD: β–² +1.16% (+0.85)
1Y: β–² +227.13% (+51.65)
Volume: 879.3K
52W: $13.61 - $105.79
AUM: 505.05M
Volatility: 101.9%
BB: Inside (31.5%)
MACD: -0.868 | +0.652 (Bearish)
MA: 50d: $78.14 | 200d: $62.05
P/C Vol Ratio: 0.75
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 55.19
EPS: 1.35
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $6.10 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $74.39
Current
Stop Loss: $62.19
-16.4%
Target: $98.80
+32.8%
Risk/Reward: 16.4% / 32.8% (1:2)
Day
$70.85$74.96
52W
$13.61$105.79
Bollinger Bands
$67.04$79.57$92.10
Width: 31.5% – Inside
Implied Move Β±13.2%
$66.06$82.72

PTIR ↓ (Y, F, Z, S) $27.04

β–² +6.04% (+1.54)
5D: β–Ό -2.38% (-0.66)
1M: β–Ό -4.95% (-1.41)
6M: β–² +196.35% (+17.92)
YTD: β–² +1.16% (+0.31)
1Y: β–² +225.18% (+18.72)
Volume: 5.9M
52W: $5.01 - $38.79
AUM: 622.64M
Volatility: 101.5%
BB: Inside (31.2%)
MACD: -0.365 | +0.179 (Bearish)
MA: 50d: $28.58 | 200d: $22.72
P/C Vol Ratio: 0.32
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 5.73
EPS: 4.72
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.21 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $27.04
Current
Stop Loss: $22.62
-16.3%
Target: $35.88
+32.7%
Risk/Reward: 16.3% / 32.7% (1:2)
Day
$25.76$27.26
52W
$5.01$38.79
Bollinger Bands
$24.43$28.95$33.47
Width: 31.2% – Inside
Implied Move Β±28.6%
$20.47$33.61

ADI β†— (Y, F, Z, S) $293.94

β–² +6.00% (+16.65)
5D: β–² +6.96% (+19.12)
1M: β–² +4.87% (+13.64)
6M: β–² +70.01% (+121.04)
YTD: β–² +8.38% (+22.74)
1Y: β–² +37.06% (+79.48)
Volume: 1.7M
52W: $156.76 - $294.09
Market Cap: 143.93B
Volatility: 30.5%
BB: Above Upper (7.1%)
MACD: +5.950 | +6.364 (Bearish)
MA: 50d: $256.59 | 200d: $231.94
P/C Vol Ratio: 0.31
Opt Dir: Bullish   Short: 2.2% (3.8d)
P/E: 64.60
EPS: 4.55
1y Target Est: $285.56
Upside %: -2.9%
Div: $3.96 (1.43%)
Annual Dividend: $3.96
Ex-Dividend Date: Dec 07, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.85%
Dividend Growth: N/A
Earnings: Nov 25, 2025
Signal Confidence: HOLD
ATR(14): $5.55 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $293.94
Current
Stop Loss: $282.83
-3.8%
Target: $316.16
+7.6%
Risk/Reward: 3.8% / 7.6% (1:2)
Day
$281.00$294.07
52W
$156.76$294.09
Bollinger Bands
$267.74$277.62$287.51
Width: 7.1% – Above Upper
Implied Move Β±7.1%
$276.09$311.79

UBER ↑ (Y, F, Z, S) $85.53

β–² +5.93% (+4.79)
5D: β–² +4.15% (+3.41)
1M: β–Ό -6.34% (-5.79)
6M: β–² +17.29% (+12.61)
YTD: β–² +4.67% (+3.82)
1Y: β–² +28.98% (+19.22)
Volume: 18.0M
52W: $60.63 - $101.99
Market Cap: 178.36B
Volatility: 34.4%
BB: Inside (16.2%)
MACD: -1.487 | -2.076 (Bullish)
MA: 50d: $87.89 | 200d: $88.12 ⚠ DEATH CROSS
P/C Vol Ratio: 0.44
Opt Dir: Bearish   Short: 2.7% (3.7d)
P/E: 11.01
EPS: 7.77
1y Target Est: $111.02
Upside %: +29.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $1.94 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $85.53
Current
Stop Loss: $81.65
-4.5%
Target: $93.28
+9.1%
Risk/Reward: 4.5% / 9.1% (1:2)
Day
$81.99$85.63
52W
$60.63$101.99
Bollinger Bands
$76.10$82.82$89.54
Width: 16.2% – Inside
Implied Move Β±3.0%
$83.36$87.69

AEO β†— (Y, F, Z, S) $28.42

β–² +5.85% (+1.57)
5D: β–² +6.48% (+1.73)
1M: β–² +23.08% (+5.33)
6M: β–² +170.41% (+17.91)
YTD: β–² +7.77% (+2.05)
1Y: β–² +71.79% (+11.88)
Volume: 3.4M
52W: $9.08 - $28.43
Market Cap: 4.82B
Volatility: 51.9%
BB: Inside (22.0%)
MACD: +1.594 | +1.806 (Bearish)
MA: 50d: $21.59 | 200d: $14.73
P/C Vol Ratio: 1.79
Opt Dir: Bearish   Short: 15.4% (2.9d)
P/E: 25.15
EPS: 1.13
1y Target Est: $23.56
Upside %: -17.1%
Div: $0.50 (1.86%)
Annual Dividend: $0.50
Ex-Dividend Date: Jan 08, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.44%
Dividend Growth: N/A
Earnings: Dec 02, 2025
Signal Confidence: HOLD
ATR(14): $0.99 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $28.42
Current
Stop Loss: $26.45
-6.9%
Target: $32.37
+13.9%
Risk/Reward: 6.9% / 13.9% (1:2)
Day
$26.89$28.43
52W
$9.08$28.43
Bollinger Bands
$23.41$26.31$29.20
Width: 22.0% – Inside
Implied Move Β±7.2%
$26.67$30.17

HIBL ↑ (Y, F, Z, S) $76.75

β–² +5.83% (+4.23)
5D: β–² +12.97% (+8.81)
1M: β–² +14.69% (+9.83)
6M: β–² +354.92% (+59.88)
YTD: β–² +16.87% (+11.08)
1Y: β–² +68.58% (+31.22)
Volume: 135.5K
52W: $13.62 - $76.75
AUM: 62.42M
Volatility: 67.0%
BB: Above Upper (17.7%)
MACD: +2.520 | +2.247 (Bullish)
MA: 50d: $63.67 | 200d: $47.16
P/C Vol Ratio: 0.00
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 32.23
EPS: 2.38
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.29%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.95 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $76.75
Current
Stop Loss: $70.85
-7.7%
Target: $88.54
+15.4%
Risk/Reward: 7.7% / 15.4% (1:2)
Day
$73.17$76.75
52W
$13.62$76.75
Bollinger Bands
$63.12$69.26$75.40
Width: 17.7% – Above Upper
Implied Move Β±3.6%
$74.40$79.10

CAVA ↑ (Y, F, Z, S) $66.93

β–² +5.44% (+3.45)
5D: β–² +14.73% (+8.59)
1M: β–² +25.42% (+13.56)
6M: β–Ό -16.72% (-13.44)
YTD: β–² +14.05% (+8.24)
1Y: β–Ό -43.70% (-51.94)
Volume: 2.6M
52W: $43.41 - $144.49
Market Cap: 7.76B
Volatility: 55.0%
BB: Above Upper (29.6%)
MACD: +2.791 | +1.924 (Bullish)
MA: 50d: $53.63 | 200d: $72.54
P/C Vol Ratio: 0.40
Opt Dir: Bearish   Short: 15.0% (4.5d)
P/E: 57.70
EPS: 1.16
1y Target Est: $68.05
Upside %: +1.7%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $2.58 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $66.93
Current
Stop Loss: $61.77
-7.7%
Target: $77.26
+15.4%
Risk/Reward: 7.7% / 15.4% (1:2)
Day
$64.74$67.71
52W
$43.41$144.49
Bollinger Bands
$48.71$57.18$65.65
Width: 29.6% – Above Upper
Implied Move Β±1.6%
$66.00$67.87

CURE ↑ (Y, F, Z, S) $117.56

β–² +5.08% (+5.68)
5D: β–² +3.44% (+3.91)
1M: β–² +8.96% (+9.67)
6M: β–² +53.26% (+40.85)
YTD: β–² +5.38% (+6.00)
1Y: β–² +25.68% (+24.02)
Volume: 266.0K
52W: $65.57 - $120.82
AUM: 206.59M
Volatility: 38.4%
BB: Inside (14.2%)
MACD: +2.182 | +2.141 (Bullish)
MA: 50d: $106.46 | 200d: $87.61
P/C Vol Ratio: 0.41
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 26.38
EPS: 4.46
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.91%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $3.33 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $117.56
Current
Stop Loss: $110.89
-5.7%
Target: $130.89
+11.3%
Risk/Reward: 5.7% / 11.3% (1:2)
Day
$111.84$118.87
52W
$65.57$120.82
Bollinger Bands
$102.79$110.67$118.54
Width: 14.2% – Inside
Implied Move Β±1.1%
$116.41$118.71

UNHG ↑ (Y, F, Z, S) $18.77

β–² +4.51% (+0.81)
5D: β–² +10.41% (+1.77)
1M: β–² +12.00% (+2.01)
6M: β–² +36.07% (+4.98)
YTD: β–² +11.79% (+1.98)
1Y: β–² +36.07% (+4.98)
Volume: 16.7M
52W: $9.10 - $22.82
Market Cap: N/A
Volatility: 52.6%
BB: Above Upper (16.7%)
MACD: +0.191 | -0.017 (Bullish)
MA: 50d: $17.10 | 200d: $nan
P/C Vol Ratio: 0.61
Opt Dir: Bullish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.77 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $18.77
Current
Stop Loss: $17.24
-8.2%
Target: $21.84
+16.3%
Risk/Reward: 8.2% / 16.3% (1:2)
Day
$18.35$19.04
52W
$9.10$22.82
Bollinger Bands
$15.61$17.04$18.46
Width: 16.7% – Above Upper
Implied Move Β±9.1%
$17.33$20.22

TEAM β†— (Y, F, Z, S) $160.75

β–² +4.46% (+6.87)
5D: β–Ό -1.34% (-2.18)
1M: β–² +0.89% (+1.42)
6M: β–Ό -16.64% (-32.09)
YTD: β–Ό -0.86% (-1.39)
1Y: β–Ό -36.87% (-93.88)
Volume: 1.7M
52W: $139.70 - $326.00
Market Cap: 42.31B
Volatility: 38.5%
BB: Inside (7.0%)
MACD: +0.541 | +1.274 (Bearish)
MA: 50d: $158.02 | 200d: $182.92
P/C Vol Ratio: 0.62
Opt Dir: Bullish   Short: 3.1% (2.7d)
P/E: 28.50
EPS: -0.69
1y Target Est: $239.82
Upside %: +49.2%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $4.89 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $160.75
Current
Stop Loss: $150.97
-6.1%
Target: $180.32
+12.2%
Risk/Reward: 6.1% / 12.2% (1:2)
Day
$151.03$160.92
52W
$139.70$326.00
Bollinger Bands
$155.66$161.28$166.90
Width: 7.0% – Inside
Implied Move Β±3.7%
$155.76$165.74

DFEN ↑ (Y, F, Z, S) $77.95

β–² +4.39% (+3.28)
5D: β–² +18.88% (+12.38)
1M: β–² +43.57% (+23.66)
6M: β–² +242.69% (+55.20)
YTD: β–² +22.03% (+14.07)
1Y: β–² +216.13% (+53.29)
Volume: 394.4K
52W: $15.97 - $78.10
AUM: 325.25M
Volatility: 61.8%
BB: Above Upper (41.5%)
MACD: +3.953 | +2.556 (Bullish)
MA: 50d: $61.16 | 200d: $48.89
P/C Vol Ratio: 0.59
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 44.25
EPS: 1.77
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.34%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $3.29 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $77.95
Current
Stop Loss: $71.36
-8.5%
Target: $91.13
+16.9%
Risk/Reward: 8.5% / 16.9% (1:2)
Day
$74.49$78.00
52W
$15.97$78.10
Bollinger Bands
$50.56$63.79$77.01
Width: 41.5% – Above Upper
Implied Move Β±35.6%
$54.35$101.55

ISRG β†— (Y, F, Z, S) $589.80

β–² +4.14% (+23.42)
5D: β–² +3.00% (+17.17)
1M: β–² +2.51% (+14.46)
6M: β–² +25.94% (+121.48)
YTD: β–² +4.14% (+23.44)
1Y: β–² +8.74% (+47.43)
Volume: 945.0K
52W: $425.00 - $616.00
Market Cap: 211.43B
Volatility: 37.5%
BB: Inside (8.4%)
MACD: +5.799 | +5.889 (Bearish)
MA: 50d: $561.13 | 200d: $512.23
P/C Vol Ratio: 0.59
Opt Dir: Bullish   Short: 2.0% (5.5d)
P/E: 78.33
EPS: 7.53
1y Target Est: $600.98
Upside %: +1.9%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Jan 22, 2026
Signal Confidence: HOLD
ATR(14): $9.86 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $589.80
Current
Stop Loss: $570.07
-3.3%
Target: $629.26
+6.7%
Risk/Reward: 3.3% / 6.7% (1:2)
Day
$564.34$592.98
52W
$425.00$616.00
Bollinger Bands
$542.25$566.03$589.81
Width: 8.4% – Inside
Implied Move Β±1.8%
$580.58$599.02

AMZN ↑ (Y, F, Z, S) $242.56

β–² +4.08% (+9.50)
5D: β–² +4.31% (+10.03)
1M: β–² +5.68% (+13.03)
6M: β–² +44.97% (+75.24)
YTD: β–² +5.09% (+11.74)
1Y: β–² +6.57% (+14.95)
Volume: 23.9M
52W: $161.38 - $258.60
Market Cap: 2.59T
Volatility: 33.7%
BB: Above Upper (8.4%)
MACD: +1.326 | +0.187 (Bullish)
MA: 50d: $232.26 | 200d: $217.45
P/C Vol Ratio: 0.49
Opt Dir: Bearish   Short: 0.8% (2.2d)
P/E: 34.21
EPS: 7.09
1y Target Est: $296.01
Upside %: +22.0%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $4.65 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $242.56
Current
Stop Loss: $233.26
-3.8%
Target: $261.15
+7.7%
Risk/Reward: 3.8% / 7.7% (1:2)
Day
$232.20$242.92
52W
$161.38$258.60
Bollinger Bands
$219.73$229.33$238.92
Width: 8.4% – Above Upper
Implied Move Β±2.3%
$237.89$247.23

VRTX β†— (Y, F, Z, S) $466.46

β–² +3.93% (+17.66)
5D: β–² +2.80% (+12.72)
1M: β–² +2.41% (+10.98)
6M: β–Ό -2.32% (-11.06)
YTD: β–² +2.89% (+13.10)
1Y: β–² +15.89% (+63.97)
Volume: 1.0M
52W: $362.50 - $519.68
Market Cap: 119.60B
Volatility: 24.9%
BB: Inside (6.7%)
MACD: +5.555 | +6.389 (Bearish)
MA: 50d: $438.65 | 200d: $438.88
P/C Vol Ratio: 1.15
Opt Dir: Bearish   Short: 1.9% (3.7d)
P/E: 32.78
EPS: 14.23
1y Target Est: $494.16
Upside %: +5.9%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 03, 2025
Signal Confidence: HOLD
ATR(14): $8.09 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $466.46
Current
Stop Loss: $450.29
-3.5%
Target: $498.80
+6.9%
Risk/Reward: 3.5% / 6.9% (1:2)
Day
$455.41$471.28
52W
$362.50$519.68
Bollinger Bands
$438.06$453.26$468.45
Width: 6.7% – Inside
Implied Move Β±0.1%
$466.02$466.90

KSS β†— (Y, F, Z, S) $22.23

β–² +3.93% (+0.84)
5D: β–² +9.24% (+1.88)
1M: β–Ό -3.04% (-0.70)
6M: β–² +225.10% (+15.39)
YTD: β–² +8.92% (+1.82)
1Y: β–² +65.44% (+8.79)
Volume: 1.4M
52W: $5.88 - $25.09
Market Cap: 2.49B
Volatility: 103.1%
BB: Inside (18.7%)
MACD: +0.248 | +0.502 (Bearish)
MA: 50d: $19.83 | 200d: $13.14
P/C Vol Ratio: 0.67
Opt Dir: Bullish   Short: 33.9% (7.6d)
P/E: 12.85
EPS: 1.73
1y Target Est: $22.17
Upside %: -0.3%
Div: $0.50 (2.34%)
Annual Dividend: $0.50
Ex-Dividend Date: Dec 09, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.51%
Dividend Growth: N/A
Earnings: Nov 25, 2025
Signal Confidence: HOLD
ATR(14): $0.91 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $22.23
Current
Stop Loss: $20.41
-8.2%
Target: $25.88
+16.4%
Risk/Reward: 8.2% / 16.4% (1:2)
Day
$21.22$22.32
52W
$5.88$25.09
Bollinger Bands
$20.08$22.16$24.23
Width: 18.7% – Inside
Implied Move Β±6.3%
$21.03$23.43

CDNS ↓ (Y, F, Z, S) $312.89

β–² +3.87% (+11.67)
5D: β–Ό -0.86% (-2.71)
1M: β–Ό -7.30% (-24.64)
6M: β–² +24.38% (+61.33)
YTD: β–² +0.10% (+0.31)
1Y: β–² +1.54% (+4.74)
Volume: 1.2M
52W: $221.56 - $376.45
Market Cap: 85.26B
Volatility: 26.3%
BB: Inside (12.2%)
MACD: -3.502 | -2.396 (Bearish)
MA: 50d: $321.48 | 200d: $318.44
P/C Vol Ratio: 1.12
Opt Dir: Bearish   Short: 1.7% (2.6d)
P/E: 80.43
EPS: 3.89
1y Target Est: $382.98
Upside %: +22.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 27, 2025
Signal Confidence: HOLD
ATR(14): $6.47 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $312.89
Current
Stop Loss: $299.94
-4.1%
Target: $338.77
+8.3%
Risk/Reward: 4.1% / 8.3% (1:2)
Day
$302.60$312.99
52W
$221.56$376.45
Bollinger Bands
$300.14$319.58$339.02
Width: 12.2% – Inside
Implied Move Β±3.1%
$304.51$321.26

DNUT β†— (Y, F, Z, S) $4.34

β–² +3.83% (+0.16)
5D: β–² +7.69% (+0.31)
1M: β–² +1.17% (+0.05)
6M: β–² +0.82% (+0.04)
YTD: β–² +7.96% (+0.32)
1Y: β–Ό -54.66% (-5.23)
Volume: 1.5M
52W: $2.50 - $9.85
Market Cap: 743.44M
Volatility: 67.3%
BB: Inside (17.5%)
MACD: +0.013 | +0.049 (Bearish)
MA: 50d: $4.11 | 200d: $3.70
P/C Vol Ratio: 0.74
Opt Dir: Bearish   Short: 27.9% (11.8d)
P/E: -45.28
EPS: -2.99
1y Target Est: $3.83
Upside %: -11.9%
Div: $0.14 (3.35%)
Annual Dividend: $0.14
Ex-Dividend Date: Apr 22, 2025
Payout Frequency: Quarterly
Payout Ratio: 7.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: HOLD
ATR(14): $0.17 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $4.34
Current
Stop Loss: $4.00
-7.9%
Target: $5.03
+15.9%
Risk/Reward: 7.9% / 15.9% (1:2)
Day
$4.17$4.53
52W
$2.50$9.85
Bollinger Bands
$3.96$4.34$4.72
Width: 17.5% – Inside
Implied Move Β±4.8%
$4.16$4.52

SATS β†— (Y, F, Z, S) $114.85

β–² +3.78% (+4.18)
5D: β–² +5.17% (+5.65)
1M: β–² +40.06% (+32.85)
6M: β–² +446.90% (+93.85)
YTD: β–² +5.66% (+6.15)
1Y: β–² +392.28% (+91.52)
Volume: 6.2M
52W: $14.90 - $115.62
Market Cap: 33.06B
Volatility: 47.9%
BB: Inside (22.9%)
MACD: +7.994 | +8.103 (Bearish)
MA: 50d: $85.45 | 200d: $49.96
P/C Vol Ratio: 0.68
Opt Dir: Bullish   Short: 20.5% (7.1d)
P/E: -33.87
EPS: -45.02
1y Target Est: $112.43
Upside %: -2.1%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: HOLD
ATR(14): $4.51 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $114.85
Current
Stop Loss: $105.84
-7.8%
Target: $132.87
+15.7%
Risk/Reward: 7.8% / 15.7% (1:2)
Day
$107.60$115.60
52W
$14.90$115.62
Bollinger Bands
$93.18$105.24$117.31
Width: 22.9% – Inside
Implied Move Β±4.7%
$110.30$119.40

TECL ↑ (Y, F, Z, S) $123.42

β–² +3.71% (+4.42)
5D: β–² +1.85% (+2.24)
1M: β–Ό -1.41% (-1.77)
6M: β–² +229.09% (+85.92)
YTD: β–² +5.05% (+5.93)
1Y: β–² +34.83% (+31.88)
Volume: 1.1M
52W: $30.54 - $146.37
AUM: 4.13B
Volatility: 61.5%
BB: Inside (20.1%)
MACD: +0.225 | +0.026 (Bullish)
MA: 50d: $122.19 | 200d: $93.80
P/C Vol Ratio: 0.86
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 38.23
EPS: 3.23
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.37%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $4.70 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $123.42
Current
Stop Loss: $114.02
-7.6%
Target: $142.22
+15.2%
Risk/Reward: 7.6% / 15.2% (1:2)
Day
$119.00$123.55
52W
$30.54$146.37
Bollinger Bands
$108.50$120.64$132.79
Width: 20.1% – Inside
Implied Move Β±8.0%
$115.03$131.81

QCOM ↑ (Y, F, Z, S) $182.79

β–² +3.67% (+6.48)
5D: β–² +5.26% (+9.14)
1M: β–² +4.56% (+7.98)
6M: β–² +36.53% (+48.91)
YTD: β–² +6.86% (+11.74)
1Y: β–² +16.91% (+26.43)
Volume: 5.1M
52W: $118.79 - $204.90
Market Cap: 197.23B
Volatility: 37.9%
BB: Above Upper (7.4%)
MACD: +1.228 | +1.005 (Bullish)
MA: 50d: $173.25 | 200d: $157.98
P/C Vol Ratio: 0.15
Opt Dir: Bullish   Short: 3.2% (4.5d)
P/E: 36.48
EPS: 5.01
1y Target Est: $193.40
Upside %: +5.8%
Div: $3.56 (2.02%)
Annual Dividend: $3.56
Ex-Dividend Date: Dec 03, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.69%
Dividend Growth: N/A
Earnings: Feb 04, 2026
Signal Confidence: HOLD
ATR(14): $3.56 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $182.79
Current
Stop Loss: $175.66
-3.9%
Target: $197.04
+7.8%
Risk/Reward: 3.9% / 7.8% (1:2)
Day
$177.19$184.45
52W
$118.79$204.90
Bollinger Bands
$169.47$175.95$182.43
Width: 7.4% – Above Upper
Implied Move Β±1.6%
$180.32$185.25

AMAT ↑ (Y, F, Z, S) $294.68

β–² +3.64% (+10.36)
5D: β–² +13.35% (+34.71)
1M: β–² +9.96% (+26.68)
6M: β–² +119.05% (+160.15)
YTD: β–² +14.67% (+37.69)
1Y: β–² +67.70% (+118.96)
Volume: 2.9M
52W: $122.80 - $298.22
Market Cap: 234.75B
Volatility: 40.9%
BB: Above Upper (16.1%)
MACD: +8.052 | +6.042 (Bullish)
MA: 50d: $248.39 | 200d: $192.74
P/C Vol Ratio: 0.93
Opt Dir: Neutral   Short: 2.2% (2.8d)
P/E: 33.99
EPS: 8.67
1y Target Est: $261.19
Upside %: -11.4%
Div: $1.84 (0.65%)
Annual Dividend: $1.84
Ex-Dividend Date: Feb 18, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.20%
Dividend Growth: N/A
Earnings: Nov 13, 2025
Signal Confidence: HOLD
ATR(14): $8.32 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $294.68
Current
Stop Loss: $278.04
-5.6%
Target: $327.96
+11.3%
Risk/Reward: 5.6% / 11.3% (1:2)
Day
$288.60$298.22
52W
$122.80$298.22
Bollinger Bands
$243.09$264.39$285.70
Width: 16.1% – Above Upper
Implied Move Β±1.7%
$290.33$299.03

CTSH β†— (Y, F, Z, S) $84.59

β–² +3.63% (+2.96)
5D: β–² +0.53% (+0.45)
1M: β–² +4.79% (+3.87)
6M: β–² +25.87% (+17.38)
YTD: β–² +1.92% (+1.59)
1Y: β–² +13.24% (+9.89)
Volume: 1.9M
52W: $64.70 - $89.37
Market Cap: 41.31B
Volatility: 24.5%
BB: Inside (7.3%)
MACD: +1.580 | +2.193 (Bearish)
MA: 50d: $77.74 | 200d: $74.29
P/C Vol Ratio: 0.50
Opt Dir: Bullish   Short: 7.5% (6.5d)
P/E: 19.58
EPS: 4.32
1y Target Est: $86.66
Upside %: +2.5%
Div: $1.24 (1.52%)
Annual Dividend: $1.24
Ex-Dividend Date: Nov 17, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.28%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $1.62 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $84.59
Current
Stop Loss: $81.35
-3.8%
Target: $91.07
+7.7%
Risk/Reward: 3.8% / 7.7% (1:2)
Day
$81.21$84.82
52W
$64.70$89.37
Bollinger Bands
$80.66$83.71$86.75
Width: 7.3% – Inside
Implied Move Β±4.7%
$81.19$87.99

PDD ↑ (Y, F, Z, S) $123.36

β–² +3.56% (+4.24)
5D: β–² +8.37% (+9.53)
1M: β–² +4.88% (+5.74)
6M: β–² +30.73% (+29.00)
YTD: β–² +8.79% (+9.97)
1Y: β–² +24.58% (+24.34)
Volume: 24.4M
52W: $87.11 - $139.41
Market Cap: 175.13B
Volatility: 30.2%
BB: Above Upper (15.3%)
MACD: -0.367 | -2.111 (Bullish)
MA: 50d: $121.59 | 200d: $116.25
P/C Vol Ratio: 0.26
Opt Dir: Bearish   Short: 3.4% (4.0d)
P/E: 12.52
EPS: 9.85
1y Target Est: $147.84
Upside %: +19.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 18, 2025
Signal Confidence: HOLD
ATR(14): $3.75 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $123.36
Current
Stop Loss: $115.86
-6.1%
Target: $138.36
+12.2%
Risk/Reward: 6.1% / 12.2% (1:2)
Day
$119.12$125.36
52W
$87.11$139.41
Bollinger Bands
$104.63$113.29$121.94
Width: 15.3% – Above Upper
Implied Move Β±3.1%
$120.10$126.62

KLAC ↑ (Y, F, Z, S) $1400.09

β–² +3.52% (+47.64)
5D: β–² +12.58% (+156.44)
1M: β–² +15.28% (+185.63)
6M: β–² +126.95% (+783.16)
YTD: β–² +15.23% (+185.01)
1Y: β–² +104.56% (+715.64)
Volume: 367.2K
52W: $547.89 - $1406.97
Market Cap: 184.37B
Volatility: 40.0%
BB: Above Upper (16.3%)
MACD: +37.190 | +26.217 (Bullish)
MA: 50d: $1209.02 | 200d: $949.33
P/C Vol Ratio: 1.85
Opt Dir: Bearish   Short: 3.0% (4.6d)
P/E: 44.06
EPS: 31.78
1y Target Est: $1320.96
Upside %: -5.7%
Div: $7.60 (0.56%)
Annual Dividend: $7.60
Ex-Dividend Date: Nov 16, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.23%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $41.78 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $1400.09
Current
Stop Loss: $1316.53
-6.0%
Target: $1567.22
+11.9%
Risk/Reward: 6.0% / 11.9% (1:2)
Day
$1369.25$1405.95
52W
$547.89$1406.97
Bollinger Bands
$1150.40$1252.75$1355.09
Width: 16.3% – Above Upper
Implied Move Β±6.4%
$1323.44$1476.74

PCAR β†— (Y, F, Z, S) $116.86

β–² +3.49% (+3.94)
5D: β–² +5.32% (+5.90)
1M: β–² +7.27% (+7.92)
6M: β–² +36.95% (+31.53)
YTD: β–² +6.71% (+7.35)
1Y: β–² +11.82% (+12.36)
Volume: 3.0M
52W: $82.75 - $119.21
Market Cap: 61.38B
Volatility: 25.9%
BB: Above Upper (6.8%)
MACD: +2.553 | +2.629 (Bearish)
MA: 50d: $104.03 | 200d: $96.51
P/C Vol Ratio: 0.10
Opt Dir: Bullish   Short: 2.9% (5.0d)
P/E: 22.91
EPS: 5.10
1y Target Est: $111.44
Upside %: -4.6%
Div: $1.32 (1.17%)
Annual Dividend: $1.32
Ex-Dividend Date: Feb 10, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.25%
Dividend Growth: N/A
Earnings: Oct 21, 2025
Signal Confidence: HOLD
ATR(14): $2.00 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $116.86
Current
Stop Loss: $112.85
-3.4%
Target: $124.88
+6.9%
Risk/Reward: 3.4% / 6.9% (1:2)
Day
$116.12$119.21
52W
$82.75$119.21
Bollinger Bands
$107.47$111.24$115.00
Width: 6.8% – Above Upper
Implied Move Β±17.8%
$99.18$134.54

MIDU ↑ (Y, F, Z, S) $56.67

β–² +3.37% (+1.85)
5D: β–² +8.09% (+4.24)
1M: β–² +9.57% (+4.95)
6M: β–² +90.17% (+26.87)
YTD: β–² +11.64% (+5.91)
1Y: β–² +5.15% (+2.77)
Volume: 70.8K
52W: $25.11 - $61.03
AUM: 71.90M
Volatility: 45.9%
BB: Above Upper (12.0%)
MACD: +1.086 | +0.960 (Bullish)
MA: 50d: $50.45 | 200d: $46.11
P/C Vol Ratio: 0.38
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 22.99
EPS: 2.47
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.16%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.63 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $56.67
Current
Stop Loss: $53.40
-5.8%
Target: $63.20
+11.5%
Risk/Reward: 5.8% / 11.5% (1:2)
Day
$54.25$56.67
52W
$25.11$61.03
Bollinger Bands
$49.83$53.01$56.20
Width: 12.0% – Above Upper
Implied Move Β±7.1%
$53.25$60.09

XME ↑ (Y, F, Z, S) $114.74

β–² +3.31% (+3.68)
5D: β–² +9.56% (+10.01)
1M: β–² +15.18% (+15.12)
6M: β–² +115.99% (+61.62)
YTD: β–² +10.74% (+11.13)
1Y: β–² +98.02% (+56.80)
Volume: 2.3M
52W: $45.72 - $115.22
Market Cap: 2.01B
Volatility: 40.2%
BB: Above Upper (16.2%)
MACD: +3.417 | +2.821 (Bullish)
MA: 50d: $98.47 | 200d: $79.08
P/C Vol Ratio: 0.54
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 27.87
EPS: 4.12
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.33%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.79 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $114.74
Current
Stop Loss: $109.16
-4.9%
Target: $125.90
+9.7%
Risk/Reward: 4.9% / 9.7% (1:2)
Day
$112.53$115.20
52W
$45.72$115.22
Bollinger Bands
$96.12$104.60$113.07
Width: 16.2% – Above Upper
Implied Move Β±4.6%
$110.29$119.19

AZN β†— (Y, F, Z, S) $94.15

β–² +3.21% (+2.93)
5D: β–² +1.77% (+1.64)
1M: β–² +4.40% (+3.97)
6M: β–² +41.71% (+27.71)
YTD: β–² +2.41% (+2.22)
1Y: β–² +43.86% (+28.71)
Volume: 3.9M
52W: $60.82 - $95.27
Market Cap: 291.92B
Volatility: 19.5%
BB: Above Upper (4.8%)
MACD: +0.918 | +0.959 (Bearish)
MA: 50d: $89.05 | 200d: $77.73
P/C Vol Ratio: 1.60
Opt Dir: Bearish   Short: 0.3% (2.4d)
P/E: 31.28
EPS: 3.01
1y Target Est: $98.96
Upside %: +5.1%
Div: $1.57 (1.72%)
Annual Dividend: $1.57
Ex-Dividend Date: Aug 07, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.52%
Dividend Growth: N/A
Earnings: Feb 10, 2026
Signal Confidence: HOLD
ATR(14): $1.35 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $94.15
Current
Stop Loss: $91.45
-2.9%
Target: $99.54
+5.7%
Risk/Reward: 2.9% / 5.7% (1:2)
Day
$92.48$95.23
52W
$60.82$95.27
Bollinger Bands
$89.31$91.52$93.73
Width: 4.8% – Above Upper
Implied Move Β±3.6%
$91.25$97.05

BIIB β†— (Y, F, Z, S) $180.11

β–² +3.14% (+5.48)
5D: β–² +2.10% (+3.71)
1M: β–Ό -0.66% (-1.19)
6M: β–² +54.61% (+63.62)
YTD: β–² +2.34% (+4.12)
1Y: β–² +17.51% (+26.84)
Volume: 621.2K
52W: $110.04 - $185.17
Market Cap: 26.42B
Volatility: 25.0%
BB: Inside (6.0%)
MACD: +1.912 | +2.148 (Bearish)
MA: 50d: $169.12 | 200d: $141.72
P/C Vol Ratio: 0.05
Opt Dir: Bullish   Short: 5.8% (2.7d)
P/E: 16.42
EPS: 10.97
1y Target Est: $182.83
Upside %: +1.5%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $4.25 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $180.11
Current
Stop Loss: $171.61
-4.7%
Target: $197.11
+9.4%
Risk/Reward: 4.7% / 9.4% (1:2)
Day
$174.30$182.37
52W
$110.04$185.17
Bollinger Bands
$170.16$175.46$180.76
Width: 6.0% – Inside
Implied Move Β±2.5%
$176.33$183.89

PLTR β†˜ (Y, F, Z, S) $179.48

β–² +3.13% (+5.44)
5D: β–Ό -0.75% (-1.36)
1M: β–Ό -1.25% (-2.28)
6M: β–² +97.67% (+88.68)
YTD: β–² +0.97% (+1.73)
1Y: β–² +136.41% (+103.56)
Volume: 17.1M
52W: $63.40 - $207.52
Market Cap: 427.78B
Volatility: 50.8%
BB: Inside (15.3%)
MACD: -0.323 | +1.451 (Bearish)
MA: 50d: $180.89 | 200d: $151.94
P/C Vol Ratio: 0.51
Opt Dir: Bullish   Short: 2.1% (1.3d)
P/E: 407.91
EPS: 0.44
1y Target Est: $186.81
Upside %: +4.1%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 03, 2025
Signal Confidence: HOLD
ATR(14): $7.19 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $179.48
Current
Stop Loss: $165.11
-8.0%
Target: $208.22
+16.0%
Risk/Reward: 8.0% / 16.0% (1:2)
Day
$175.00$180.19
52W
$63.40$207.52
Bollinger Bands
$170.14$184.24$198.35
Width: 15.3% – Inside
Implied Move Β±3.6%
$173.95$185.01

SBUX ↑ (Y, F, Z, S) $89.26

β–² +3.13% (+2.71)
5D: β–² +4.71% (+4.01)
1M: β–² +4.87% (+4.14)
6M: β–² +12.97% (+10.25)
YTD: β–² +6.00% (+5.06)
1Y: β–Ό -1.61% (-1.46)
Volume: 5.3M
52W: $73.95 - $115.04
Market Cap: 101.51B
Volatility: 29.5%
BB: Above Upper (8.7%)
MACD: +0.449 | +0.277 (Bullish)
MA: 50d: $84.71 | 200d: $86.28
P/C Vol Ratio: 2.01
Opt Dir: Bearish   Short: 4.2% (6.0d)
P/E: 54.77
EPS: 1.63
1y Target Est: $94.13
Upside %: +5.4%
Div: $2.48 (2.87%)
Annual Dividend: $2.48
Ex-Dividend Date: Feb 12, 2026
Payout Frequency: Quarterly
Payout Ratio: 1.50%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $2.12 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $89.26
Current
Stop Loss: $85.02
-4.8%
Target: $97.76
+9.5%
Risk/Reward: 4.8% / 9.5% (1:2)
Day
$86.36$89.65
52W
$73.95$115.04
Bollinger Bands
$81.68$85.38$89.08
Width: 8.7% – Above Upper
Implied Move Β±2.4%
$87.47$91.06

DXCM ↑ (Y, F, Z, S) $69.75

β–² +3.10% (+2.10)
5D: β–² +4.01% (+2.69)
1M: β–² +6.50% (+4.26)
6M: β–² +5.51% (+3.64)
YTD: β–² +5.09% (+3.38)
1Y: β–Ό -12.68% (-10.13)
Volume: 1.7M
52W: $54.11 - $93.25
Market Cap: 27.35B
Volatility: 43.3%
BB: Above Upper (6.4%)
MACD: +1.013 | +0.938 (Bullish)
MA: 50d: $63.98 | 200d: $73.83
P/C Vol Ratio: 0.28
Opt Dir: Bearish   Short: 4.3% (3.8d)
P/E: 38.74
EPS: 1.80
1y Target Est: $85.27
Upside %: +22.2%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $1.52 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $69.75
Current
Stop Loss: $66.71
-4.4%
Target: $75.82
+8.7%
Risk/Reward: 4.4% / 8.7% (1:2)
Day
$67.30$70.23
52W
$54.11$93.25
Bollinger Bands
$64.84$66.97$69.10
Width: 6.4% – Above Upper
Implied Move Β±1.4%
$68.93$70.57

RDDT ↑ (Y, F, Z, S) $251.59

β–² +3.09% (+7.54)
5D: β–² +7.81% (+18.23)
1M: β–² +7.47% (+17.48)
6M: β–² +167.22% (+157.44)
YTD: β–² +9.45% (+21.72)
1Y: β–² +40.17% (+72.10)
Volume: 2.2M
52W: $79.75 - $282.95
Market Cap: 47.68B
Volatility: 61.8%
BB: Above Upper (13.4%)
MACD: +7.259 | +6.057 (Bullish)
MA: 50d: $215.27 | 200d: $175.48
P/C Vol Ratio: 0.66
Opt Dir: Bearish   Short: 16.7% (6.1d)
P/E: 115.94
EPS: 2.17
1y Target Est: $246.32
Upside %: -2.1%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $10.15 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $251.59
Current
Stop Loss: $231.29
-8.1%
Target: $292.20
+16.1%
Risk/Reward: 8.1% / 16.1% (1:2)
Day
$242.24$252.55
52W
$79.75$282.95
Bollinger Bands
$216.90$232.49$248.08
Width: 13.4% – Above Upper
Implied Move Β±1.4%
$248.61$254.56

OPEN β†’ (Y, F, Z, S) $6.52

β–² +3.09% (+0.20)
5D: β–² +11.56% (+0.68)
1M: β–Ό -8.88% (-0.63)
6M: β–² +598.31% (+5.58)
YTD: β–² +11.75% (+0.69)
1Y: β–² +278.79% (+4.80)
Volume: 37.4M
52W: $0.51 - $10.87
Market Cap: 6.21B
Volatility: 98.9%
BB: Inside (27.6%)
MACD: -0.279 | -0.320 (Bullish)
MA: 50d: $7.09 | 200d: $4.04
P/C Vol Ratio: 0.11
Opt Dir: Bullish   Short: 13.7% (2.5d)
P/E: -30.61
EPS: -0.44
1y Target Est: $2.99
Upside %: -54.2%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: HOLD
ATR(14): $0.34 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $6.52
Current
Stop Loss: $5.83
-10.5%
Target: $7.88
+21.0%
Risk/Reward: 10.5% / 21.0% (1:2)
Day
$6.26$6.62
52W
$0.51$10.87
Bollinger Bands
$5.54$6.42$7.31
Width: 27.6% – Inside
Implied Move Β±6.8%
$6.14$6.89

SNOW β†— (Y, F, Z, S) $231.17

β–² +3.04% (+6.81)
5D: β–² +4.11% (+9.12)
1M: β–² +1.04% (+2.38)
6M: β–² +68.74% (+94.17)
YTD: β–² +5.38% (+11.81)
1Y: β–² +41.75% (+68.09)
Volume: 2.8M
52W: $120.10 - $280.67
Market Cap: 79.11B
Volatility: 40.7%
BB: Above Upper (7.2%)
MACD: -4.492 | -6.172 (Bullish)
MA: 50d: $243.39 | 200d: $211.72
P/C Vol Ratio: 0.23
Opt Dir: Bearish   Short: 3.7% (3.9d)
P/E: 141.62
EPS: -4.02
1y Target Est: $283.52
Upside %: +22.6%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Dec 03, 2025
Signal Confidence: HOLD
ATR(14): $6.32 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $231.17
Current
Stop Loss: $218.52
-5.5%
Target: $256.47
+10.9%
Risk/Reward: 5.5% / 10.9% (1:2)
Day
$223.52$231.80
52W
$120.10$280.67
Bollinger Bands
$213.71$221.66$229.60
Width: 7.2% – Above Upper
Implied Move Β±3.2%
$224.90$237.44

MELI ↑ (Y, F, Z, S) $2213.26

β–² +3.01% (+64.64)
5D: β–² +9.52% (+192.38)
1M: β–² +7.11% (+146.84)
6M: β–² +7.63% (+156.83)
YTD: β–² +9.88% (+199.00)
1Y: β–² +23.00% (+413.84)
Volume: 287.3K
52W: $1723.90 - $2645.22
Market Cap: 112.21B
Volatility: 43.5%
BB: Above Upper (13.8%)
MACD: +7.086 | -18.112 (Bullish)
MA: 50d: $2086.02 | 200d: $2268.89
P/C Vol Ratio: 0.80
Opt Dir: Neutral   Short: 1.6% (2.0d)
P/E: 53.93
EPS: 41.04
1y Target Est: $2826.62
Upside %: +27.7%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Dec 27, 2017
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $62.84 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $2213.26
Current
Stop Loss: $2087.57
-5.7%
Target: $2464.64
+11.4%
Risk/Reward: 5.7% / 11.4% (1:2)
Day
$2147.42$2239.95
52W
$1723.90$2645.22
Bollinger Bands
$1876.75$2016.32$2155.89
Width: 13.8% – Above Upper
Implied Move Β±3.0%
$2157.50$2269.02

ACN β†— (Y, F, Z, S) $271.87

β–² +2.99% (+7.89)
5D: β–² +0.69% (+1.87)
1M: β–² +1.98% (+5.28)
6M: β–Ό -2.15% (-5.97)
YTD: β–² +1.33% (+3.57)
1Y: β–Ό -21.51% (-74.51)
Volume: 1.6M
52W: $229.40 - $394.41
Market Cap: 168.60B
Volatility: 26.7%
BB: Inside (5.0%)
MACD: +2.531 | +3.879 (Bearish)
MA: 50d: $257.71 | 200d: $273.25
P/C Vol Ratio: 0.89
Opt Dir: Neutral   Short: 2.1% (3.7d)
P/E: 22.49
EPS: 12.09
1y Target Est: $288.18
Upside %: +6.0%
Div: $6.52 (2.47%)
Annual Dividend: $6.52
Ex-Dividend Date: Jan 12, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.50%
Dividend Growth: N/A
Earnings: Mar 19, 2026
Signal Confidence: HOLD
ATR(14): $6.22 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $271.87
Current
Stop Loss: $259.43
-4.6%
Target: $296.75
+9.2%
Risk/Reward: 4.6% / 9.2% (1:2)
Day
$262.99$272.17
52W
$229.40$394.41
Bollinger Bands
$263.35$270.04$276.73
Width: 5.0% – Inside
Implied Move Β±5.1%
$260.20$283.54

ODFL ↑ (Y, F, Z, S) $168.48

β–² +2.90% (+4.75)
5D: β–² +5.75% (+9.17)
1M: β–² +8.59% (+13.33)
6M: β–² +13.04% (+19.44)
YTD: β–² +7.45% (+11.68)
1Y: β–Ό -7.11% (-12.89)
Volume: 670.0K
52W: $125.76 - $208.11
Market Cap: 35.41B
Volatility: 33.5%
BB: Above Upper (9.8%)
MACD: +4.895 | +4.770 (Bullish)
MA: 50d: $145.78 | 200d: $152.14
P/C Vol Ratio: 0.61
Opt Dir: Bullish   Short: 7.6% (7.4d)
P/E: 33.83
EPS: 4.98
1y Target Est: $158.12
Upside %: -6.1%
Div: $1.12 (0.68%)
Annual Dividend: $1.12
Ex-Dividend Date: Dec 02, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.22%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $3.64 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $168.48
Current
Stop Loss: $161.20
-4.3%
Target: $183.02
+8.6%
Risk/Reward: 4.3% / 8.6% (1:2)
Day
$163.62$168.99
52W
$125.76$208.11
Bollinger Bands
$150.53$158.31$166.09
Width: 9.8% – Above Upper
Implied Move Β±4.9%
$161.42$175.53

LABU β†˜ (Y, F, Z, S) $156.38

β–² +2.86% (+4.35)
5D: β–Ό -1.20% (-1.90)
1M: β–Ό -5.58% (-9.24)
6M: β–² +242.73% (+110.75)
YTD: β–Ό -1.89% (-3.01)
1Y: β–² +64.27% (+61.18)
Volume: 533.9K
52W: $32.22 - $178.22
AUM: 879.91M
Volatility: 69.2%
BB: Inside (17.9%)
MACD: +2.871 | +5.619 (Bearish)
MA: 50d: $147.03 | 200d: $87.32
P/C Vol Ratio: 0.92
Opt Dir: Bearish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.26%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $9.32 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $156.38
Current
Stop Loss: $137.74
-11.9%
Target: $193.66
+23.8%
Risk/Reward: 11.9% / 23.8% (1:2)
Day
$152.70$159.22
52W
$32.22$178.22
Bollinger Bands
$147.96$162.54$177.13
Width: 17.9% – Inside
Implied Move Β±7.3%
$146.74$166.03

NBIS ↑ (Y, F, Z, S) $95.46

β–² +2.83% (+2.63)
5D: β–² +12.08% (+10.29)
1M: β–Ό -2.63% (-2.58)
6M: β–² +360.71% (+74.74)
YTD: β–² +14.04% (+11.75)
1Y: β–² +205.77% (+64.24)
Volume: 14.2M
52W: $18.31 - $141.10
Market Cap: 24.04B
Volatility: 88.2%
BB: Inside (29.2%)
MACD: -1.437 | -2.780 (Bullish)
MA: 50d: $97.42 | 200d: $68.33
P/C Vol Ratio: 0.37
Opt Dir: Bearish   Short: 15.2% (3.8d)
P/E: -41.78
EPS: -0.19
1y Target Est: $151.50
Upside %: +58.7%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 11, 2025
Signal Confidence: HOLD
ATR(14): $5.87 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $95.46
Current
Stop Loss: $83.72
-12.3%
Target: $118.94
+24.6%
Risk/Reward: 12.3% / 24.6% (1:2)
Day
$91.30$100.19
52W
$18.31$141.10
Bollinger Bands
$75.69$88.63$101.56
Width: 29.2% – Inside
Implied Move Β±7.9%
$89.04$101.88

USD ↑ (Y, F, Z, S) $56.18

β–² +2.73% (+1.49)
5D: β–² +5.11% (+2.73)
1M: β–² +3.01% (+1.64)
6M: β–² +268.90% (+40.95)
YTD: β–² +6.99% (+3.67)
1Y: β–² +48.53% (+18.36)
Volume: 569.9K
52W: $12.51 - $64.79
AUM: 1.66B
Volatility: 68.2%
BB: Inside (25.1%)
MACD: +0.577 | +0.101 (Bullish)
MA: 50d: $53.81 | 200d: $40.13
P/C Vol Ratio: 0.88
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 53.18
EPS: 1.06
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.3%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.37 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $56.18
Current
Stop Loss: $51.45
-8.4%
Target: $65.64
+16.8%
Risk/Reward: 8.4% / 16.8% (1:2)
Day
$55.36$57.25
52W
$12.51$64.79
Bollinger Bands
$46.19$52.82$59.45
Width: 25.1% – Inside
Implied Move Β±9.1%
$51.81$60.55

MAR β†— (Y, F, Z, S) $319.48

β–² +2.72% (+8.45)
5D: β–² +1.76% (+5.54)
1M: β–² +9.19% (+26.89)
6M: β–² +49.23% (+105.40)
YTD: β–² +2.98% (+9.24)
1Y: β–² +18.33% (+49.50)
Volume: 842.1K
52W: $203.87 - $319.67
Market Cap: 86.73B
Volatility: 26.2%
BB: Inside (13.6%)
MACD: +6.205 | +6.421 (Bearish)
MA: 50d: $293.96 | 200d: $267.28
P/C Vol Ratio: 0.93
Opt Dir: Neutral   Short: 3.4% (5.7d)
P/E: 33.66
EPS: 9.49
1y Target Est: $296.76
Upside %: -7.1%
Div: $2.68 (0.86%)
Annual Dividend: $2.68
Ex-Dividend Date: Nov 19, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.27%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $5.36 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $319.48
Current
Stop Loss: $308.76
-3.4%
Target: $340.92
+6.7%
Risk/Reward: 3.4% / 6.7% (1:2)
Day
$309.94$319.67
52W
$203.87$319.67
Bollinger Bands
$285.94$306.82$327.69
Width: 13.6% – Inside
Implied Move Β±5.1%
$305.50$333.46

ELIL β†’ (Y, F, Z, S) $27.23

β–² +2.72% (+0.72)
5D: β–Ό -4.87% (-1.39)
1M: β–² +8.38% (+2.11)
6M: β–² +39.41% (+7.70)
YTD: β–Ό -3.71% (-1.05)
1Y: β–² +32.83% (+6.73)
Volume: 94.0K
52W: $10.20 - $30.58
AUM: 23.27M
Volatility: 54.4%
BB: Inside (23.3%)
MACD: +0.717 | +0.954 (Bearish)
MA: 50d: $25.24 | 200d: $nan
P/C Vol Ratio: 0.06
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 97.90
EPS: 0.28
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.19 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $27.23
Current
Stop Loss: $24.86
-8.7%
Target: $31.98
+17.4%
Risk/Reward: 8.7% / 17.4% (1:2)
Day
$26.56$27.96
52W
$10.20$30.58
Bollinger Bands
$23.98$27.14$30.29
Width: 23.3% – Inside
Implied Move Β±3.9%
$26.34$28.12

MDB β†— (Y, F, Z, S) $432.17

β–² +2.70% (+11.35)
5D: β–² +2.60% (+10.94)
1M: β–² +5.51% (+22.55)
6M: β–² +184.94% (+280.50)
YTD: β–² +2.97% (+12.48)
1Y: β–² +70.91% (+179.31)
Volume: 611.5K
52W: $140.78 - $440.67
Market Cap: 35.19B
Volatility: 56.8%
BB: Inside (9.2%)
MACD: +12.460 | +16.001 (Bearish)
MA: 50d: $381.28 | 200d: $268.88
P/C Vol Ratio: 0.38
Opt Dir: Bearish   Short: 4.6% (3.0d)
P/E: 77.88
EPS: -0.84
1y Target Est: $444.29
Upside %: +2.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Dec 01, 2025
Signal Confidence: HOLD
ATR(14): $13.17 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $432.17
Current
Stop Loss: $405.83
-6.1%
Target: $484.85
+12.2%
Risk/Reward: 6.1% / 12.2% (1:2)
Day
$418.94$433.07
52W
$140.78$440.67
Bollinger Bands
$403.97$423.51$443.05
Width: 9.2% – Inside
Implied Move Β±8.5%
$400.81$463.54

IDXX β†— (Y, F, Z, S) $700.29

β–² +2.65% (+18.07)
5D: β–² +2.63% (+17.97)
1M: β–Ό -1.93% (-13.80)
6M: β–² +72.21% (+293.64)
YTD: β–² +3.51% (+23.76)
1Y: β–² +63.18% (+271.13)
Volume: 130.8K
52W: $356.14 - $769.98
Market Cap: 56.03B
Volatility: 39.3%
BB: Inside (6.1%)
MACD: -5.030 | -3.839 (Bearish)
MA: 50d: $697.75 | 200d: $585.35
P/C Vol Ratio: 0.96
Opt Dir: Neutral   Short: 3.4% (4.1d)
P/E: 55.49
EPS: 12.62
1y Target Est: $766.00
Upside %: +9.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 03, 2025
Signal Confidence: HOLD
ATR(14): $14.58 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $700.29
Current
Stop Loss: $671.14
-4.2%
Target: $758.60
+8.3%
Risk/Reward: 4.2% / 8.3% (1:2)
Day
$675.90$701.47
52W
$356.14$769.98
Bollinger Bands
$672.19$693.32$714.45
Width: 6.1% – Inside
Implied Move Β±5.0%
$670.73$729.86

SMH ↑ (Y, F, Z, S) $387.47

β–² +2.62% (+9.88)
5D: β–² +6.65% (+24.16)
1M: β–² +6.66% (+24.18)
6M: β–² +106.93% (+200.22)
YTD: β–² +7.59% (+27.34)
1Y: β–² +49.36% (+128.05)
Volume: 12.2M
52W: $169.58 - $389.36
Market Cap: 4.52B
Volatility: 31.4%
BB: Above Upper (12.6%)
MACD: +6.560 | +4.269 (Bullish)
MA: 50d: $355.35 | 200d: $291.48
P/C Vol Ratio: 1.37
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 43.73
EPS: 8.86
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.3%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $8.25 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $387.47
Current
Stop Loss: $370.98
-4.3%
Target: $420.46
+8.5%
Risk/Reward: 4.3% / 8.5% (1:2)
Day
$382.37$389.36
52W
$169.58$389.36
Bollinger Bands
$339.82$362.60$385.38
Width: 12.6% – Above Upper
Implied Move Β±2.5%
$379.18$395.76

AVL ↓ (Y, F, Z, S) $44.45

β–² +2.54% (+1.10)
5D: β–Ό -1.31% (-0.59)
1M: β–Ό -22.57% (-12.95)
6M: β–² +263.87% (+32.23)
YTD: β–² +0.82% (+0.36)
1Y: β–² +49.61% (+14.74)
Volume: 537.3K
52W: $8.83 - $65.16
AUM: 134.56M
Volatility: 104.3%
BB: Inside (66.7%)
MACD: -2.038 | -1.912 (Bearish)
MA: 50d: $49.86 | 200d: $35.98
P/C Vol Ratio: 1.81
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 36.12
EPS: 1.23
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.73%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.72 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $44.45
Current
Stop Loss: $39.02
-12.2%
Target: $55.32
+24.4%
Risk/Reward: 12.2% / 24.4% (1:2)
Day
$42.00$44.57
52W
$8.83$65.16
Bollinger Bands
$31.70$47.54$63.39
Width: 66.7% – Inside
Implied Move Β±11.0%
$40.29$48.62

GILD β†˜ (Y, F, Z, S) $121.28

β–² +2.52% (+2.98)
5D: β–Ό -1.54% (-1.90)
1M: β–² +0.71% (+0.86)
6M: β–² +18.66% (+19.08)
YTD: β–Ό -1.19% (-1.46)
1Y: β–² +36.66% (+32.53)
Volume: 3.2M
52W: $86.16 - $127.86
Market Cap: 150.49B
Volatility: 24.1%
BB: Inside (7.7%)
MACD: -0.098 | +0.262 (Bearish)
MA: 50d: $122.17 | 200d: $112.53
P/C Vol Ratio: 3.32
Opt Dir: Bearish   Short: 1.8% (3.5d)
P/E: 18.77
EPS: 6.46
1y Target Est: $132.38
Upside %: +9.2%
Div: $3.16 (2.67%)
Annual Dividend: $3.16
Ex-Dividend Date: Dec 14, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.49%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $2.55 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $121.28
Current
Stop Loss: $116.17
-4.2%
Target: $131.50
+8.4%
Risk/Reward: 4.2% / 8.4% (1:2)
Day
$118.61$121.60
52W
$86.16$127.86
Bollinger Bands
$117.27$121.95$126.62
Width: 7.7% – Inside
Implied Move Β±2.0%
$119.21$123.35

TQQQ ↑ (Y, F, Z, S) $54.92

β–² +2.46% (+1.32)
5D: β–² +1.51% (+0.82)
1M: β–Ό -2.04% (-1.14)
6M: β–² +163.79% (+34.10)
YTD: β–² +4.17% (+2.20)
1Y: β–² +29.97% (+12.66)
Volume: 84.1M
52W: $17.41 - $60.59
AUM: 30.90B
Volatility: 50.8%
BB: Inside (13.7%)
MACD: +0.097 | +0.088 (Bullish)
MA: 50d: $54.12 | 200d: $43.38
P/C Vol Ratio: 0.67
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 34.33
EPS: 1.60
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.72%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.75 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $54.92
Current
Stop Loss: $51.42
-6.4%
Target: $61.92
+12.7%
Risk/Reward: 6.4% / 12.7% (1:2)
Day
$53.75$54.96
52W
$17.41$60.59
Bollinger Bands
$50.17$53.86$57.55
Width: 13.7% – Inside
Implied Move Β±3.6%
$53.23$56.61

CRM β†— (Y, F, Z, S) $262.48

β–² +2.43% (+6.21)
5D: β–Ό -1.30% (-3.45)
1M: β–² +0.89% (+2.32)
6M: β–² +11.65% (+27.38)
YTD: β–Ό -0.92% (-2.43)
1Y: β–Ό -20.07% (-65.91)
Volume: 2.9M
52W: $221.60 - $364.71
Market Cap: 249.88B
Volatility: 33.4%
BB: Inside (6.4%)
MACD: +3.794 | +4.704 (Bearish)
MA: 50d: $249.81 | 200d: $255.90
P/C Vol Ratio: 0.74
Opt Dir: Bearish   Short: 1.8% (2.6d)
P/E: 35.09
EPS: 7.48
1y Target Est: $329.40
Upside %: +25.5%
Div: $1.66 (0.65%)
Annual Dividend: $1.66
Ex-Dividend Date: Dec 17, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.22%
Dividend Growth: N/A
Earnings: Dec 03, 2025
Signal Confidence: HOLD
ATR(14): $5.39 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $262.48
Current
Stop Loss: $251.69
-4.1%
Target: $284.04
+8.2%
Risk/Reward: 4.1% / 8.2% (1:2)
Day
$255.41$262.79
52W
$221.60$364.71
Bollinger Bands
$252.64$261.01$269.38
Width: 6.4% – Inside
Implied Move Β±2.4%
$257.04$267.91

BYND ↓ (Y, F, Z, S) $0.91

β–² +2.31% (+0.02)
5D: β–² +7.51% (+0.06)
1M: β–Ό -25.36% (-0.31)
6M: β–Ό -65.90% (-1.76)
YTD: β–² +11.05% (+0.09)
1Y: β–Ό -76.71% (-3.00)
Volume: 50.5M
52W: $0.50 - $7.69
Market Cap: 412.79M
Volatility: 450.3%
BB: Inside (51.2%)
MACD: -0.097 | -0.095 (Bearish)
MA: 50d: $1.17 | 200d: $2.41
P/C Vol Ratio: 0.02
Opt Dir: Bearish   Short: 27.4% (1.9d)
P/E: -1.91
EPS: -3.17
1y Target Est: $1.61
Upside %: +76.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 10, 2025
Signal Confidence: HOLD
ATR(14): $0.10 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $0.91
Current
Stop Loss: $0.72
-21.1%
Target: $1.30
+42.2%
Risk/Reward: 21.1% / 42.2% (1:2)
Day
$0.88$0.96
52W
$0.50$7.69
Bollinger Bands
$0.76$1.02$1.28
Width: 51.2% – Inside
Implied Move Β±15.4%
$0.79$1.03

UNH ↑ (Y, F, Z, S) $349.87

β–² +2.30% (+7.85)
5D: β–² +5.33% (+17.71)
1M: β–² +6.44% (+21.17)
6M: β–Ό -16.07% (-67.01)
YTD: β–² +5.99% (+19.76)
1Y: β–Ό -30.21% (-151.45)
Volume: 5.8M
52W: $231.57 - $594.32
Market Cap: 316.93B
Volatility: 26.4%
BB: Above Upper (8.6%)
MACD: +2.720 | +0.797 (Bullish)
MA: 50d: $330.58 | 200d: $342.68
P/C Vol Ratio: 0.38
Opt Dir: Bullish   Short: 1.6% (2.6d)
P/E: 18.23
EPS: 19.19
1y Target Est: $392.73
Upside %: +12.3%
Div: $8.84 (2.58%)
Annual Dividend: $8.84
Ex-Dividend Date: Dec 07, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.45%
Dividend Growth: N/A
Earnings: Jan 27, 2026
Signal Confidence: HOLD
ATR(14): $7.60 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $349.87
Current
Stop Loss: $334.66
-4.3%
Target: $380.28
+8.7%
Risk/Reward: 4.3% / 8.7% (1:2)
Day
$345.12$352.48
52W
$231.57$594.32
Bollinger Bands
$318.02$332.28$346.53
Width: 8.6% – Above Upper
Implied Move Β±2.6%
$342.01$357.73

XRT β†— (Y, F, Z, S) $88.90

β–² +2.26% (+1.96)
5D: β–² +3.41% (+2.93)
1M: β–² +3.31% (+2.85)
6M: β–² +36.27% (+23.67)
YTD: β–² +4.24% (+3.61)
1Y: β–² +12.10% (+9.60)
Volume: 4.5M
52W: $60.97 - $89.13
Market Cap: 1.08B
Volatility: 21.6%
BB: Above Upper (4.2%)
MACD: +0.802 | +0.909 (Bearish)
MA: 50d: $83.82 | 200d: $79.53
P/C Vol Ratio: 0.72
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 17.13
EPS: 5.19
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.25%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.14 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $88.90
Current
Stop Loss: $86.63
-2.6%
Target: $93.46
+5.1%
Risk/Reward: 2.6% / 5.1% (1:2)
Day
$86.75$88.93
52W
$60.97$89.13
Bollinger Bands
$85.19$87.00$88.81
Width: 4.2% – Above Upper
Implied Move Β±3.5%
$86.23$91.58

EDC ↑ (Y, F, Z, S) $62.22

β–² +2.18% (+1.33)
5D: β–² +13.00% (+7.16)
1M: β–² +17.92% (+9.45)
6M: β–² +141.79% (+36.48)
YTD: β–² +14.03% (+7.66)
1Y: β–² +115.52% (+33.35)
Volume: 234.9K
52W: $19.88 - $62.73
AUM: 118.25M
Volatility: 44.3%
BB: Above Upper (26.0%)
MACD: +1.946 | +0.867 (Bullish)
MA: 50d: $53.43 | 200d: $42.59
P/C Vol Ratio: 0.85
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 27.13
EPS: 2.29
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.95%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.66 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $62.22
Current
Stop Loss: $58.90
-5.3%
Target: $68.84
+10.7%
Risk/Reward: 5.3% / 10.7% (1:2)
Day
$61.97$62.78
52W
$19.88$62.73
Bollinger Bands
$46.76$53.75$60.73
Width: 26.0% – Above Upper
Implied Move Β±39.5%
$41.32$83.11

SPYU ↑ (Y, F, Z, S) $57.80

β–² +2.17% (+1.23)
5D: β–² +2.14% (+1.21)
1M: β–² +1.99% (+1.13)
6M: β–² +160.01% (+35.57)
YTD: β–² +5.40% (+2.96)
1Y: β–² +16.82% (+8.32)
Volume: 2.0M
52W: $18.15 - $60.42
AUM: 441.65M
Volatility: 46.1%
BB: Inside (12.1%)
MACD: +0.544 | +0.465 (Bullish)
MA: 50d: $55.29 | 200d: $45.48
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: Aug 25, 2025
Signal Confidence: HOLD
ATR(14): $1.67 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $57.80
Current
Stop Loss: $54.45
-5.8%
Target: $64.50
+11.6%
Risk/Reward: 5.8% / 11.6% (1:2)
Day
$56.62$57.83
52W
$18.15$60.42
Bollinger Bands
$52.46$55.84$59.22
Width: 12.1% – Inside

SHW ↑ (Y, F, Z, S) $339.14

β–² +2.09% (+6.94)
5D: β–² +3.98% (+12.98)
1M: β–² +1.81% (+6.03)
6M: β–² +5.93% (+18.99)
YTD: β–² +4.66% (+15.11)
1Y: β–² +1.29% (+4.30)
Volume: 722.8K
52W: $306.78 - $378.76
Market Cap: 84.56B
Volatility: 21.3%
BB: Above Upper (4.8%)
MACD: -0.725 | -2.292 (Bullish)
MA: 50d: $333.78 | 200d: $343.06
P/C Vol Ratio: 4.41
Opt Dir: Strong Bearish   Short: 1.6% (2.6d)
P/E: 33.15
EPS: 10.23
1y Target Est: $386.10
Upside %: +13.8%
Div: $3.16 (0.95%)
Annual Dividend: $3.16
Ex-Dividend Date: Nov 13, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.30%
Dividend Growth: N/A
Earnings: Jan 29, 2026
Signal Confidence: HOLD
ATR(14): $6.09 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $339.14
Current
Stop Loss: $326.97
-3.6%
Target: $363.49
+7.2%
Risk/Reward: 3.6% / 7.2% (1:2)
Day
$329.15$340.11
52W
$306.78$378.76
Bollinger Bands
$318.89$326.82$334.74
Width: 4.8% – Above Upper
Implied Move Β±2.7%
$331.45$346.83

AMGN β†˜ (Y, F, Z, S) $327.40

β–² +2.08% (+6.68)
5D: β–Ό -0.39% (-1.29)
1M: β–Ό -0.75% (-2.49)
6M: β–² +22.53% (+60.21)
YTD: β–² +0.03% (+0.09)
1Y: β–² +30.73% (+76.96)
Volume: 900.3K
52W: $248.95 - $346.38
Market Cap: 176.30B
Volatility: 27.0%
BB: Inside (7.2%)
MACD: +0.481 | +1.249 (Bearish)
MA: 50d: $323.94 | 200d: $294.38
P/C Vol Ratio: 0.20
Opt Dir: Bullish   Short: 2.6% (5.1d)
P/E: 25.32
EPS: 12.93
1y Target Est: $327.74
Upside %: +0.1%
Div: $9.66 (3.01%)
Annual Dividend: $9.66
Ex-Dividend Date: Feb 12, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.73%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $5.24 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $327.40
Current
Stop Loss: $316.91
-3.2%
Target: $348.38
+6.4%
Risk/Reward: 3.2% / 6.4% (1:2)
Day
$318.84$327.71
52W
$248.95$346.38
Bollinger Bands
$313.66$325.33$337.00
Width: 7.2% – Inside
Implied Move Β±1.8%
$322.38$332.41

AMC ↓ (Y, F, Z, S) $1.56

β–² +2.05% (+0.03)
5D: β–Ό -3.02% (-0.05)
1M: β–Ό -31.22% (-0.71)
6M: β–Ό -41.96% (-1.13)
YTD: β–² +0.09% (+0.00)
1Y: β–Ό -61.54% (-2.50)
Volume: 21.1M
52W: $1.50 - $4.13
Market Cap: 800.91M
Volatility: 46.6%
BB: Inside (56.6%)
MACD: -0.194 | -0.186 (Bearish)
MA: 50d: $2.17 | 200d: $2.76
P/C Vol Ratio: 0.30
Opt Dir: Bearish   Short: 9.9% (1.7d)
P/E: -2.72
EPS: -1.47
1y Target Est: $3.21
Upside %: +105.6%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Mar 05, 2020
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 05, 2025
Signal Confidence: HOLD
ATR(14): $0.09 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $1.56
Current
Stop Loss: $1.38
-11.4%
Target: $1.92
+22.9%
Risk/Reward: 11.4% / 22.9% (1:2)
Day
$1.54$1.62
52W
$1.50$4.13
Bollinger Bands
$1.31$1.83$2.35
Width: 56.6% – Inside
Implied Move Β±9.0%
$1.44$1.68

SNPS ↑ (Y, F, Z, S) $504.22

β–² +2.03% (+10.03)
5D: β–² +6.27% (+29.73)
1M: β–² +8.03% (+37.46)
6M: β–² +25.32% (+101.86)
YTD: β–² +7.34% (+34.50)
1Y: β–² +0.63% (+3.16)
Volume: 930.7K
52W: $365.74 - $651.73
Market Cap: 96.47B
Volatility: 33.2%
BB: Above Upper (11.1%)
MACD: +13.254 | +11.433 (Bullish)
MA: 50d: $441.46 | 200d: $490.51
P/C Vol Ratio: 0.42
Opt Dir: Bearish   Short: 2.3% (2.8d)
P/E: 62.56
EPS: 8.06
1y Target Est: $556.73
Upside %: +10.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Dec 10, 2025
Signal Confidence: HOLD
ATR(14): $12.68 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $504.22
Current
Stop Loss: $478.86
-5.0%
Target: $554.94
+10.1%
Risk/Reward: 5.0% / 10.1% (1:2)
Day
$494.98$507.99
52W
$365.74$651.73
Bollinger Bands
$445.85$472.11$498.37
Width: 11.1% – Above Upper
Implied Move Β±3.2%
$490.62$517.82

ETN β†— (Y, F, Z, S) $328.73

β–² +2.01% (+6.46)
5D: β–² +2.45% (+7.87)
1M: β–Ό -2.65% (-8.93)
6M: β–² +27.50% (+70.91)
YTD: β–² +3.21% (+10.21)
1Y: β–Ό -4.74% (-16.35)
Volume: 1.8M
52W: $230.37 - $398.40
Market Cap: 127.97B
Volatility: 31.5%
BB: Inside (13.6%)
MACD: -5.843 | -7.307 (Bullish)
MA: 50d: $345.93 | 200d: $339.61
P/C Vol Ratio: 0.70
Opt Dir: Bearish   Short: 1.8% (2.8d)
P/E: 32.90
EPS: 9.99
1y Target Est: $398.91
Upside %: +21.4%
Div: $4.16 (1.29%)
Annual Dividend: $4.16
Ex-Dividend Date: Nov 05, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.41%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $7.10 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $328.73
Current
Stop Loss: $314.52
-4.3%
Target: $357.14
+8.6%
Risk/Reward: 4.3% / 8.6% (1:2)
Day
$315.76$329.24
52W
$230.37$398.40
Bollinger Bands
$305.74$328.09$350.44
Width: 13.6% – Inside
Implied Move Β±3.1%
$320.14$337.31

TNA β†— (Y, F, Z, S) $50.12

β–² +1.98% (+0.97)
5D: β–² +7.54% (+3.51)
1M: β–² +4.21% (+2.02)
6M: β–² +138.63% (+29.12)
YTD: β–² +10.07% (+4.58)
1Y: β–² +15.47% (+6.72)
Volume: 6.8M
52W: $17.89 - $52.39
AUM: 1.93B
Volatility: 59.1%
BB: Inside (13.0%)
MACD: +0.588 | +0.670 (Bearish)
MA: 50d: $46.15 | 200d: $37.84
P/C Vol Ratio: 0.72
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 20.44
EPS: 2.45
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.06%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.79 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $50.12
Current
Stop Loss: $46.54
-7.1%
Target: $57.29
+14.3%
Risk/Reward: 7.1% / 14.3% (1:2)
Day
$48.44$50.15
52W
$17.89$52.39
Bollinger Bands
$45.35$48.50$51.65
Width: 13.0% – Inside
Implied Move Β±4.5%
$48.21$52.04

FNGU ↓ (Y, F, Z, S) $24.98

β–² +1.96% (+0.48)
5D: β–Ό -3.52% (-0.91)
1M: β–Ό -16.15% (-4.81)
6M: β–² +146.34% (+14.84)
YTD: β–Ό -1.11% (-0.28)
1Y: β–² +3.08% (+0.75)
Volume: 2.6M
52W: $7.95 - $34.14
Market Cap: N/A
Volatility: 58.4%
BB: Inside (28.3%)
MACD: -1.026 | -0.942 (Bearish)
MA: 50d: $28.56 | 200d: $23.87
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 1.84
EPS: 13.58
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: Feb 25, 2025
Signal Confidence: HOLD
ATR(14): $0.93 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $24.98
Current
Stop Loss: $23.12
-7.5%
Target: $28.70
+14.9%
Risk/Reward: 7.5% / 14.9% (1:2)
Day
$24.27$25.00
52W
$7.95$34.14
Bollinger Bands
$22.65$26.39$30.13
Width: 28.3% – Inside

PANW β†˜ (Y, F, Z, S) $185.68

β–² +1.95% (+3.56)
5D: β–Ό -0.63% (-1.17)
1M: β–Ό -6.62% (-13.16)
6M: β–² +16.01% (+25.63)
YTD: β–² +0.80% (+1.48)
1Y: β–² +3.44% (+6.18)
Volume: 2.1M
52W: $144.15 - $223.61
Market Cap: 129.42B
Volatility: 27.8%
BB: Inside (8.6%)
MACD: -3.356 | -3.468 (Bullish)
MA: 50d: $197.52 | 200d: $192.42
P/C Vol Ratio: 1.01
Opt Dir: Bearish   Short: 6.5% (8.3d)
P/E: 117.52
EPS: 1.58
1y Target Est: $228.09
Upside %: +22.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 19, 2025
Signal Confidence: HOLD
ATR(14): $3.74 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $185.68
Current
Stop Loss: $178.20
-4.0%
Target: $200.65
+8.1%
Risk/Reward: 4.0% / 8.1% (1:2)
Day
$181.71$185.80
52W
$144.15$223.61
Bollinger Bands
$179.56$187.64$195.73
Width: 8.6% – Inside
Implied Move Β±2.2%
$182.19$189.16

MA β†— (Y, F, Z, S) $579.60

β–² +1.94% (+11.03)
5D: β–² +0.38% (+2.18)
1M: β–² +6.25% (+34.08)
6M: β–² +14.10% (+71.64)
YTD: β–² +1.53% (+8.72)
1Y: β–² +13.87% (+70.60)
Volume: 1.5M
52W: $463.61 - $600.98
Market Cap: 523.97B
Volatility: 19.6%
BB: Inside (9.3%)
MACD: +5.737 | +5.845 (Bearish)
MA: 50d: $556.31 | 200d: $560.90
P/C Vol Ratio: 1.04
Opt Dir: Bearish   Short: 0.8% (2.7d)
P/E: 37.06
EPS: 15.64
1y Target Est: $657.84
Upside %: +13.5%
Div: $3.48 (0.61%)
Annual Dividend: $3.48
Ex-Dividend Date: Jan 08, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.19%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $7.95 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $579.60
Current
Stop Loss: $563.70
-2.7%
Target: $611.41
+5.5%
Risk/Reward: 2.7% / 5.5% (1:2)
Day
$567.94$581.01
52W
$463.61$600.98
Bollinger Bands
$540.50$566.99$593.48
Width: 9.3% – Inside
Implied Move Β±2.2%
$568.57$590.64

WEBL β†— (Y, F, Z, S) $27.88

β–² +1.90% (+0.52)
5D: β–Ό -0.57% (-0.16)
1M: β–Ό -2.86% (-0.82)
6M: β–² +97.78% (+13.78)
YTD: β–² +1.90% (+0.52)
1Y: β–Ό -2.96% (-0.85)
Volume: 364.4K
52W: $11.65 - $35.24
AUM: 121.47M
Volatility: 53.4%
BB: Inside (11.5%)
MACD: -0.253 | -0.281 (Bullish)
MA: 50d: $28.61 | 200d: $27.44
P/C Vol Ratio: 0.07
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 31.89
EPS: 0.87
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.25%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.95 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $27.88
Current
Stop Loss: $25.98
-6.8%
Target: $31.68
+13.6%
Risk/Reward: 6.8% / 13.6% (1:2)
Day
$27.14$27.88
52W
$11.65$35.24
Bollinger Bands
$26.19$27.79$29.38
Width: 11.5% – Inside
Implied Move Β±7.4%
$26.14$29.62

GEHC β†— (Y, F, Z, S) $86.62

β–² +1.86% (+1.58)
5D: β–² +3.95% (+3.29)
1M: β–² +1.36% (+1.17)
6M: β–² +43.43% (+26.23)
YTD: β–² +5.61% (+4.61)
1Y: β–² +6.20% (+5.06)
Volume: 1.2M
52W: $57.57 - $94.66
Market Cap: 39.55B
Volatility: 26.6%
BB: Above Upper (5.8%)
MACD: +1.330 | +1.387 (Bearish)
MA: 50d: $79.42 | 200d: $74.45
P/C Vol Ratio: 1.27
Opt Dir: Bearish   Short: 3.4% (4.9d)
P/E: 17.93
EPS: 4.83
1y Target Est: $90.95
Upside %: +5.0%
Div: $0.14 (0.16%)
Annual Dividend: $0.14
Ex-Dividend Date: Jan 08, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.03%
Dividend Growth: N/A
Earnings: Feb 04, 2026
Signal Confidence: HOLD
ATR(14): $1.51 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $86.62
Current
Stop Loss: $83.60
-3.5%
Target: $92.67
+7.0%
Risk/Reward: 3.5% / 7.0% (1:2)
Day
$84.48$87.24
52W
$57.57$94.66
Bollinger Bands
$81.19$83.62$86.05
Width: 5.8% – Above Upper
Implied Move Β±0.8%
$86.05$87.20

DDM ↑ (Y, F, Z, S) $60.10

β–² +1.86% (+1.10)
5D: β–² +4.39% (+2.53)
1M: β–² +5.98% (+3.39)
6M: β–² +62.79% (+23.18)
YTD: β–² +5.69% (+3.24)
1Y: β–² +26.59% (+12.62)
Volume: 1.9M
52W: $34.27 - $60.12
AUM: 492.37M
Volatility: 22.8%
BB: Above Upper (7.0%)
MACD: +0.807 | +0.706 (Bullish)
MA: 50d: $56.12 | 200d: $49.88
P/C Vol Ratio: 0.67
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 24.46
EPS: 2.46
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.86%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.99 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $60.10
Current
Stop Loss: $58.13
-3.3%
Target: $64.04
+6.6%
Risk/Reward: 3.3% / 6.6% (1:2)
Day
$58.87$60.12
52W
$34.27$60.12
Bollinger Bands
$55.60$57.61$59.61
Width: 7.0% – Above Upper
Implied Move Β±2.8%
$58.65$61.54

XLB ↑ (Y, F, Z, S) $47.44

β–² +1.84% (+0.85)
5D: β–² +3.73% (+1.71)
1M: β–² +8.14% (+3.57)
6M: β–² +21.10% (+8.27)
YTD: β–² +4.60% (+2.09)
1Y: β–² +15.53% (+6.38)
Volume: 9.6M
52W: $36.02 - $47.53
Market Cap: 3.41B
Volatility: 15.4%
BB: Above Upper (9.1%)
MACD: +0.712 | +0.572 (Bullish)
MA: 50d: $44.09 | 200d: $43.55
P/C Vol Ratio: 0.41
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 24.46
EPS: 1.94
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.92%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.50 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $47.44
Current
Stop Loss: $46.43
-2.1%
Target: $49.45
+4.2%
Risk/Reward: 2.1% / 4.2% (1:2)
Day
$46.72$47.53
52W
$36.02$47.53
Bollinger Bands
$43.21$45.26$47.31
Width: 9.1% – Above Upper
Implied Move Β±0.3%
$47.31$47.56

AIBU β†— (Y, F, Z, S) $51.42

β–² +1.83% (+0.92)
5D: β–² +2.23% (+1.12)
1M: β–Ό -5.70% (-3.11)
6M: β–² +143.20% (+30.28)
YTD: β–² +4.15% (+2.05)
1Y: β–² +39.70% (+14.61)
Volume: 9.5K
52W: $18.29 - $64.16
AUM: 39.88M
Volatility: 51.4%
BB: Inside (19.1%)
MACD: -0.666 | -0.878 (Bullish)
MA: 50d: $53.38 | 200d: $43.56
P/C Vol Ratio: 0.21
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 38.66
EPS: 1.33
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.89%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.59 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $51.42
Current
Stop Loss: $48.24
-6.2%
Target: $57.78
+12.4%
Risk/Reward: 6.2% / 12.4% (1:2)
Day
$50.79$51.42
52W
$18.29$64.16
Bollinger Bands
$45.93$50.77$55.61
Width: 19.1% – Inside
Implied Move Β±8.7%
$47.60$55.24

DASH β†— (Y, F, Z, S) $230.74

β–² +1.78% (+4.02)
5D: β–² +1.15% (+2.61)
1M: β–² +2.55% (+5.74)
6M: β–² +34.29% (+58.92)
YTD: β–² +1.88% (+4.26)
1Y: β–² +31.84% (+55.72)
Volume: 2.0M
52W: $155.40 - $285.50
Market Cap: 99.45B
Volatility: 54.5%
BB: Inside (7.9%)
MACD: +1.824 | +2.144 (Bearish)
MA: 50d: $222.37 | 200d: $227.60
P/C Vol Ratio: 1.05
Opt Dir: Bearish   Short: 3.3% (3.9d)
P/E: 117.13
EPS: 1.97
1y Target Est: $276.39
Upside %: +19.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 05, 2025
Signal Confidence: HOLD
ATR(14): $6.39 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $230.74
Current
Stop Loss: $217.96
-5.5%
Target: $256.32
+11.1%
Risk/Reward: 5.5% / 11.1% (1:2)
Day
$226.27$231.74
52W
$155.40$285.50
Bollinger Bands
$219.29$228.28$237.27
Width: 7.9% – Inside
Implied Move Β±3.9%
$223.09$238.39

DOW ↑ (Y, F, Z, S) $25.33

β–² +1.75% (+0.43)
5D: β–² +7.76% (+1.82)
1M: β–² +10.34% (+2.38)
6M: β–Ό -4.93% (-1.31)
YTD: β–² +8.36% (+1.95)
1Y: β–Ό -31.50% (-11.65)
Volume: 5.5M
52W: $19.82 - $39.24
Market Cap: 18.01B
Volatility: 45.1%
BB: Above Upper (12.5%)
MACD: +0.396 | +0.221 (Bullish)
MA: 50d: $23.14 | 200d: $25.23
P/C Vol Ratio: 1.57
Opt Dir: Bearish   Short: 4.8% (3.1d)
P/E: -116.56
EPS: -1.61
1y Target Est: $27.65
Upside %: +9.1%
Div: $1.40 (5.62%)
Annual Dividend: $1.40
Ex-Dividend Date: Nov 27, 2025
Payout Frequency: Quarterly
Payout Ratio: 7.00%
Dividend Growth: N/A
Earnings: Jan 29, 2026
Signal Confidence: HOLD
ATR(14): $0.62 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $25.33
Current
Stop Loss: $24.10
-4.9%
Target: $27.80
+9.7%
Risk/Reward: 4.9% / 9.7% (1:2)
Day
$24.68$25.67
52W
$19.82$39.24
Bollinger Bands
$22.13$23.61$25.09
Width: 12.5% – Above Upper
Implied Move Β±3.3%
$24.63$26.04

NVO ↑ (Y, F, Z, S) $56.06

β–² +1.73% (+0.95)
5D: β–² +9.46% (+4.84)
1M: β–² +17.14% (+8.20)
6M: β–Ό -2.80% (-1.62)
YTD: β–² +10.19% (+5.18)
1Y: β–Ό -32.25% (-26.68)
Volume: 24.7M
52W: $43.08 - $91.28
Market Cap: 249.12B
Volatility: 40.9%
BB: Above Upper (20.7%)
MACD: +1.322 | +0.647 (Bullish)
MA: 50d: $49.33 | 200d: $59.12
P/C Vol Ratio: 0.29
Opt Dir: Bullish   Short: 0.9% (1.4d)
P/E: 15.28
EPS: 3.67
1y Target Est: $53.06
Upside %: -5.4%
Div: $1.73 (3.13%)
Annual Dividend: $1.73
Ex-Dividend Date: Aug 17, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.50%
Dividend Growth: N/A
Earnings: Nov 05, 2025
Signal Confidence: HOLD
ATR(14): $1.73 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $56.06
Current
Stop Loss: $52.61
-6.2%
Target: $62.98
+12.3%
Risk/Reward: 6.2% / 12.3% (1:2)
Day
$56.02$58.15
52W
$43.08$91.28
Bollinger Bands
$45.15$50.36$55.58
Width: 20.7% – Above Upper
Implied Move Β±3.2%
$54.56$57.57

COST ↑ (Y, F, Z, S) $890.70

β–² +1.71% (+14.96)
5D: β–² +2.89% (+25.05)
1M: β–Ό -0.44% (-3.98)
6M: β–Ό -6.62% (-63.15)
YTD: β–² +3.29% (+28.36)
1Y: β–Ό -2.97% (-27.22)
Volume: 1.0M
52W: $844.06 - $1073.82
Market Cap: 395.43B
Volatility: 18.2%
BB: Inside (5.9%)
MACD: -6.995 | -10.677 (Bullish)
MA: 50d: $895.76 | 200d: $948.62
P/C Vol Ratio: 0.37
Opt Dir: Bearish   Short: 1.5% (2.4d)
P/E: 47.76
EPS: 18.65
1y Target Est: $1033.06
Upside %: +16.0%
Div: $5.20 (0.59%)
Annual Dividend: $5.20
Ex-Dividend Date: Oct 30, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.27%
Dividend Growth: N/A
Earnings: Mar 05, 2026
Signal Confidence: HOLD
ATR(14): $12.42 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $890.70
Current
Stop Loss: $865.86
-2.8%
Target: $940.38
+5.6%
Risk/Reward: 2.8% / 5.6% (1:2)
Day
$872.20$892.49
52W
$844.06$1073.82
Bollinger Bands
$843.61$869.15$894.68
Width: 5.9% – Inside
Implied Move Β±2.1%
$875.06$906.34

IBM β†˜ (Y, F, Z, S) $299.98

β–² +1.70% (+5.01)
5D: β–Ό -0.69% (-2.07)
1M: β–Ό -2.59% (-7.96)
6M: β–² +29.41% (+68.17)
YTD: β–² +1.27% (+3.77)
1Y: β–² +38.20% (+82.91)
Volume: 1.7M
52W: $209.20 - $324.90
Market Cap: 280.40B
Volatility: 26.6%
BB: Inside (7.3%)
MACD: -1.437 | -0.219 (Bearish)
MA: 50d: $304.10 | 200d: $270.28
P/C Vol Ratio: 0.43
Opt Dir: Bullish   Short: 2.4% (5.0d)
P/E: 35.80
EPS: 8.38
1y Target Est: $298.37
Upside %: -0.5%
Div: $6.72 (2.28%)
Annual Dividend: $6.72
Ex-Dividend Date: Nov 09, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.80%
Dividend Growth: N/A
Earnings: Jan 28, 2026
Signal Confidence: HOLD
ATR(14): $5.79 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $299.98
Current
Stop Loss: $288.40
-3.9%
Target: $323.12
+7.7%
Risk/Reward: 3.9% / 7.7% (1:2)
Day
$295.05$300.35
52W
$209.20$324.90
Bollinger Bands
$292.68$303.78$314.88
Width: 7.3% – Inside
Implied Move Β±1.9%
$295.03$304.92

XLV β†— (Y, F, Z, S) $157.67

β–² +1.70% (+2.63)
5D: β–² +1.28% (+1.99)
1M: β–² +3.32% (+5.06)
6M: β–² +20.56% (+26.89)
YTD: β–² +1.85% (+2.87)
1Y: β–² +15.41% (+21.05)
Volume: 11.2M
52W: $125.63 - $158.30
Market Cap: 31.13B
Volatility: 12.9%
BB: Inside (5.2%)
MACD: +1.264 | +1.265 (Bearish)
MA: 50d: $151.65 | 200d: $139.37
P/C Vol Ratio: 0.44
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 26.50
EPS: 5.95
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.55%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.59 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $157.67
Current
Stop Loss: $154.49
-2.0%
Target: $164.02
+4.0%
Risk/Reward: 2.0% / 4.0% (1:2)
Day
$155.63$158.30
52W
$125.63$158.30
Bollinger Bands
$150.19$154.21$158.22
Width: 5.2% – Inside
Implied Move Β±1.6%
$155.53$159.81

UPRO ↑ (Y, F, Z, S) $120.57

β–² +1.67% (+1.98)
5D: β–² +1.80% (+2.13)
1M: β–² +2.44% (+2.88)
6M: β–² +124.36% (+66.83)
YTD: β–² +4.16% (+4.81)
1Y: β–² +31.34% (+28.77)
Volume: 2.6M
52W: $45.54 - $121.84
AUM: 5.10B
Volatility: 34.9%
BB: Inside (9.4%)
MACD: +1.254 | +1.127 (Bullish)
MA: 50d: $115.22 | 200d: $95.80
P/C Vol Ratio: 0.99
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 28.26
EPS: 4.27
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.76%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.70 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $120.57
Current
Stop Loss: $115.17
-4.5%
Target: $131.37
+9.0%
Risk/Reward: 4.5% / 9.0% (1:2)
Day
$118.61$120.61
52W
$45.54$121.84
Bollinger Bands
$111.42$116.94$122.45
Width: 9.4% – Inside
Implied Move Β±2.8%
$117.68$123.46

SPXL ↑ (Y, F, Z, S) $229.77

β–² +1.66% (+3.74)
5D: β–² +1.83% (+4.13)
1M: β–² +2.41% (+5.41)
6M: β–² +124.87% (+127.59)
YTD: β–² +4.15% (+9.16)
1Y: β–² +31.37% (+54.87)
Volume: 1.3M
52W: $86.59 - $232.01
AUM: 6.23B
Volatility: 35.0%
BB: Inside (9.5%)
MACD: +2.395 | +2.155 (Bullish)
MA: 50d: $219.55 | 200d: $182.37
P/C Vol Ratio: 1.60
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 28.43
EPS: 8.08
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.75%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $5.16 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $229.77
Current
Stop Loss: $219.45
-4.5%
Target: $250.40
+9.0%
Risk/Reward: 4.5% / 9.0% (1:2)
Day
$226.03$229.85
52W
$86.59$232.01
Bollinger Bands
$212.24$222.84$233.44
Width: 9.5% – Inside
Implied Move Β±2.6%
$224.67$234.87

BNKU ↑ (Y, F, Z, S) $39.06

β–² +1.64% (+0.63)
5D: β–² +12.76% (+4.42)
1M: β–² +26.37% (+8.15)
6M: β–² +256.35% (+28.10)
YTD: β–² +15.26% (+5.17)
1Y: β–² +68.32% (+15.85)
Volume: 56.3K
52W: $8.51 - $39.33
AUM: 27.66M
Volatility: 52.5%
BB: Above Upper (24.8%)
MACD: +2.121 | +1.925 (Bullish)
MA: 50d: $30.11 | 200d: $23.27
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 32.92
EPS: 1.19
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: Aug 25, 2025
Signal Confidence: HOLD
ATR(14): $1.59 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $39.06
Current
Stop Loss: $35.87
-8.2%
Target: $45.43
+16.3%
Risk/Reward: 8.2% / 16.3% (1:2)
Day
$37.99$39.21
52W
$8.51$39.33
Bollinger Bands
$30.19$34.47$38.75
Width: 24.8% – Above Upper

QTUM ↑ (Y, F, Z, S) $116.48

β–² +1.59% (+1.82)
5D: β–² +5.21% (+5.77)
1M: β–² +3.28% (+3.70)
6M: β–² +70.40% (+48.12)
YTD: β–² +6.22% (+6.82)
1Y: β–² +37.85% (+31.98)
Volume: 458.9K
52W: $62.13 - $116.50
AUM: 2.99B
Volatility: 28.5%
BB: Inside (8.7%)
MACD: +1.123 | +0.715 (Bullish)
MA: 50d: $110.06 | 200d: $94.84
P/C Vol Ratio: 0.84
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 32.51
EPS: 3.58
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.68%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.93 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $116.48
Current
Stop Loss: $112.63
-3.3%
Target: $124.18
+6.6%
Risk/Reward: 3.3% / 6.6% (1:2)
Day
$115.57$116.50
52W
$62.13$116.50
Bollinger Bands
$106.83$111.70$116.57
Width: 8.7% – Inside
Implied Move Β±1.7%
$114.78$118.18

QQQE ↑ (Y, F, Z, S) $104.99

β–² +1.56% (+1.61)
5D: β–² +1.69% (+1.74)
1M: β–² +1.05% (+1.09)
6M: β–² +30.66% (+24.64)
YTD: β–² +2.62% (+2.68)
1Y: β–² +14.86% (+13.58)
Volume: 213.9K
52W: $74.72 - $105.19
AUM: 1.25B
Volatility: 13.9%
BB: Above Upper (3.2%)
MACD: +0.417 | +0.388 (Bullish)
MA: 50d: $102.32 | 200d: $96.92
P/C Vol Ratio: 1.17
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 27.75
EPS: 3.78
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.58%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.00 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $104.99
Current
Stop Loss: $103.00
-1.9%
Target: $108.97
+3.8%
Risk/Reward: 1.9% / 3.8% (1:2)
Day
$103.62$104.99
52W
$74.72$105.19
Bollinger Bands
$101.62$103.25$104.88
Width: 3.2% – Above Upper
Implied Move Β±3.3%
$102.02$107.97

INTU ↓ (Y, F, Z, S) $643.58

β–² +1.54% (+9.74)
5D: β–Ό -3.93% (-26.30)
1M: β–Ό -4.46% (-30.05)
6M: β–² +13.50% (+76.54)
YTD: β–Ό -2.84% (-18.84)
1Y: β–² +3.63% (+22.52)
Volume: 1.0M
52W: $530.03 - $812.22
Market Cap: 179.17B
Volatility: 25.8%
BB: Inside (8.4%)
MACD: -2.856 | +1.265 (Bearish)
MA: 50d: $658.45 | 200d: $681.56
P/C Vol Ratio: 1.90
Opt Dir: Bearish   Short: 1.9% (3.1d)
P/E: 44.14
EPS: 14.58
1y Target Est: $803.89
Upside %: +24.9%
Div: $4.48 (0.71%)
Annual Dividend: $4.48
Ex-Dividend Date: Jan 08, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.30%
Dividend Growth: N/A
Earnings: Nov 20, 2025
Signal Confidence: HOLD
ATR(14): $13.92 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $643.58
Current
Stop Loss: $615.73
-4.3%
Target: $699.28
+8.7%
Risk/Reward: 4.3% / 8.7% (1:2)
Day
$629.72$649.10
52W
$530.03$812.22
Bollinger Bands
$635.22$663.02$690.82
Width: 8.4% – Inside
Implied Move Β±1.9%
$632.96$654.21

CVNA β†’ (Y, F, Z, S) $436.58

β–² +1.52% (+6.52)
5D: β–² +1.64% (+7.03)
1M: β–² +9.21% (+36.81)
6M: β–² +122.94% (+240.75)
YTD: β–² +3.45% (+14.56)
1Y: β–² +131.18% (+247.73)
Volume: 1.5M
52W: $148.25 - $485.33
Market Cap: 94.65B
Volatility: 67.9%
BB: Inside (15.3%)
MACD: +10.887 | +16.932 (Bearish)
MA: 50d: $380.42 | 200d: $331.96
P/C Vol Ratio: 0.97
Opt Dir: Bearish   Short: 11.5% (2.4d)
P/E: 99.45
EPS: 4.39
1y Target Est: $446.73
Upside %: +2.3%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $17.63 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $436.58
Current
Stop Loss: $401.32
-8.1%
Target: $507.10
+16.2%
Risk/Reward: 8.1% / 16.2% (1:2)
Day
$427.80$439.34
52W
$148.25$485.33
Bollinger Bands
$409.42$443.43$477.44
Width: 15.3% – Inside
Implied Move Β±1.7%
$430.25$442.91

FNGO ↓ (Y, F, Z, S) $115.91

β–² +1.51% (+1.72)
5D: β–Ό -1.73% (-2.04)
1M: β–Ό -10.43% (-13.50)
6M: β–² +98.00% (+57.37)
YTD: β–Ό -0.53% (-0.62)
1Y: β–² +17.33% (+17.12)
Volume: 15.3K
52W: $48.67 - $140.87
AUM: 637.91M
Volatility: 39.4%
BB: Inside (18.0%)
MACD: -2.821 | -2.510 (Bearish)
MA: 50d: $125.61 | 200d: $107.83
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 38.32
EPS: 3.02
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: Aug 25, 2025
Signal Confidence: HOLD
ATR(14): $2.66 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $115.91
Current
Stop Loss: $110.60
-4.6%
Target: $126.53
+9.2%
Risk/Reward: 4.6% / 9.2% (1:2)
Day
$113.39$115.91
52W
$48.67$140.87
Bollinger Bands
$109.01$119.80$130.60
Width: 18.0% – Inside

ABT ↑ (Y, F, Z, S) $128.33

β–² +1.49% (+1.88)
5D: β–² +2.03% (+2.55)
1M: β–² +2.60% (+3.25)
6M: β–Ό -0.31% (-0.40)
YTD: β–² +2.43% (+3.04)
1Y: β–² +15.68% (+17.39)
Volume: 3.3M
52W: $109.37 - $139.33
Market Cap: 223.36B
Volatility: 19.1%
BB: Inside (5.9%)
MACD: -0.046 | -0.380 (Bullish)
MA: 50d: $126.05 | 200d: $129.35
P/C Vol Ratio: 1.14
Opt Dir: Bearish   Short: 0.9% (2.9d)
P/E: 16.14
EPS: 7.95
1y Target Est: $144.79
Upside %: +12.8%
Div: $2.52 (1.99%)
Annual Dividend: $2.52
Ex-Dividend Date: Jan 14, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.29%
Dividend Growth: N/A
Earnings: Jan 22, 2026
Signal Confidence: HOLD
ATR(14): $1.98 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $128.33
Current
Stop Loss: $124.38
-3.1%
Target: $136.24
+6.2%
Risk/Reward: 3.1% / 6.2% (1:2)
Day
$126.55$129.46
52W
$109.37$139.33
Bollinger Bands
$121.35$125.06$128.77
Width: 5.9% – Inside
Implied Move Β±1.6%
$126.62$130.05

AXP β†— (Y, F, Z, S) $385.42

β–² +1.48% (+5.62)
5D: β–² +3.45% (+12.86)
1M: β–² +4.30% (+15.89)
6M: β–² +60.09% (+144.67)
YTD: β–² +4.41% (+16.29)
1Y: β–² +29.03% (+86.72)
Volume: 942.4K
52W: $218.83 - $386.63
Market Cap: 268.20B
Volatility: 26.4%
BB: Inside (6.9%)
MACD: +4.034 | +4.527 (Bearish)
MA: 50d: $366.41 | 200d: $317.27
P/C Vol Ratio: 0.56
Opt Dir: Bullish   Short: 1.8% (4.2d)
P/E: 25.88
EPS: 14.89
1y Target Est: $364.60
Upside %: -5.4%
Div: $3.28 (0.86%)
Annual Dividend: $3.28
Ex-Dividend Date: Jan 01, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.16%
Dividend Growth: N/A
Earnings: Jan 30, 2026
Signal Confidence: HOLD
ATR(14): $6.01 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $385.42
Current
Stop Loss: $373.40
-3.1%
Target: $409.45
+6.2%
Risk/Reward: 3.1% / 6.2% (1:2)
Day
$376.20$385.71
52W
$218.83$386.63
Bollinger Bands
$363.52$376.49$389.46
Width: 6.9% – Inside
Implied Move Β±1.9%
$379.27$391.57

WMT β†— (Y, F, Z, S) $114.38

β–² +1.48% (+1.67)
5D: β–² +2.20% (+2.46)
1M: β–Ό -0.43% (-0.50)
6M: β–² +24.61% (+22.59)
YTD: β–² +2.66% (+2.97)
1Y: β–² +26.30% (+23.81)
Volume: 9.5M
52W: $79.27 - $117.45
Market Cap: 911.91B
Volatility: 24.2%
BB: Inside (6.3%)
MACD: +0.910 | +1.285 (Bearish)
MA: 50d: $108.52 | 200d: $100.12
P/C Vol Ratio: 0.43
Opt Dir: Bullish   Short: 0.7% (3.2d)
P/E: 39.99
EPS: 2.86
1y Target Est: $121.56
Upside %: +6.3%
Div: $0.94 (0.83%)
Annual Dividend: $0.94
Ex-Dividend Date: Dec 11, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.32%
Dividend Growth: N/A
Earnings: Feb 19, 2026
Signal Confidence: HOLD
ATR(14): $1.55 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $114.38
Current
Stop Loss: $111.29
-2.7%
Target: $120.56
+5.4%
Risk/Reward: 2.7% / 5.4% (1:2)
Day
$111.99$114.71
52W
$79.27$117.45
Bollinger Bands
$110.06$113.64$117.21
Width: 6.3% – Inside
Implied Move Β±2.0%
$112.43$116.32

FAS ↑ (Y, F, Z, S) $183.25

β–² +1.41% (+2.54)
5D: β–² +6.39% (+11.01)
1M: β–² +16.01% (+25.28)
6M: β–² +72.96% (+77.30)
YTD: β–² +8.86% (+14.92)
1Y: β–² +31.89% (+44.31)
Volume: 641.6K
52W: $85.28 - $184.20
AUM: 2.55B
Volatility: 42.1%
BB: Inside (17.6%)
MACD: +5.808 | +5.297 (Bullish)
MA: 50d: $157.94 | 200d: $150.12
P/C Vol Ratio: 0.51
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 19.91
EPS: 9.20
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.91%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $5.33 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $183.25
Current
Stop Loss: $172.60
-5.8%
Target: $204.56
+11.6%
Risk/Reward: 5.8% / 11.6% (1:2)
Day
$179.48$183.36
52W
$85.28$184.20
Bollinger Bands
$154.82$169.72$184.62
Width: 17.6% – Inside
Implied Move Β±1.8%
$180.50$186.00

CAT ↑ (Y, F, Z, S) $624.65

β–² +1.39% (+8.55)
5D: β–² +8.19% (+47.26)
1M: β–² +3.56% (+21.48)
6M: β–² +120.81% (+341.76)
YTD: β–² +9.04% (+51.78)
1Y: β–² +74.10% (+265.87)
Volume: 1.4M
52W: $264.29 - $627.50
Market Cap: 292.64B
Volatility: 38.5%
BB: Inside (12.4%)
MACD: +8.463 | +5.974 (Bullish)
MA: 50d: $574.81 | 200d: $437.31
P/C Vol Ratio: 0.47
Opt Dir: Bullish   Short: 1.5% (3.2d)
P/E: 32.08
EPS: 19.47
1y Target Est: $605.19
Upside %: -3.1%
Div: $6.04 (0.98%)
Annual Dividend: $6.04
Ex-Dividend Date: Jan 19, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.29%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $13.76 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $624.65
Current
Stop Loss: $597.14
-4.4%
Target: $679.68
+8.8%
Risk/Reward: 4.4% / 8.8% (1:2)
Day
$608.90$625.52
52W
$264.29$627.50
Bollinger Bands
$554.09$590.60$627.10
Width: 12.4% – Inside
Implied Move Β±1.2%
$618.13$631.17

PAYX ↓ (Y, F, Z, S) $110.99

β–² +1.38% (+1.51)
5D: β–Ό -2.12% (-2.40)
1M: β–Ό -0.95% (-1.07)
6M: β–Ό -19.00% (-26.03)
YTD: β–Ό -1.06% (-1.19)
1Y: β–Ό -15.87% (-20.93)
Volume: 813.7K
52W: $107.80 - $158.49
Market Cap: 39.84B
Volatility: 21.8%
BB: Inside (7.2%)
MACD: -0.828 | -0.415 (Bearish)
MA: 50d: $113.31 | 200d: $133.64
P/C Vol Ratio: 3.78
Opt Dir: Strong Bearish   Short: 4.6% (4.6d)
P/E: 25.11
EPS: 4.42
1y Target Est: $122.14
Upside %: +10.0%
Div: $4.32 (3.95%)
Annual Dividend: $4.32
Ex-Dividend Date: Nov 06, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.95%
Dividend Growth: N/A
Earnings: Dec 19, 2025
Signal Confidence: HOLD
ATR(14): $2.32 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $110.99
Current
Stop Loss: $106.34
-4.2%
Target: $120.28
+8.4%
Risk/Reward: 4.2% / 8.4% (1:2)
Day
$108.47$111.22
52W
$107.80$158.49
Bollinger Bands
$109.36$113.42$117.47
Width: 7.2% – Inside
Implied Move Β±3.6%
$107.59$114.39

GE ↑ (Y, F, Z, S) $328.73

β–² +1.36% (+4.41)
5D: β–² +5.43% (+16.94)
1M: β–² +15.91% (+45.11)
6M: β–² +85.02% (+151.06)
YTD: β–² +6.72% (+20.70)
1Y: β–² +91.71% (+157.26)
Volume: 1.6M
52W: $158.75 - $329.43
Market Cap: 348.60B
Volatility: 26.2%
BB: Inside (17.7%)
MACD: +6.950 | +4.570 (Bullish)
MA: 50d: $302.57 | 200d: $263.32
P/C Vol Ratio: 0.68
Opt Dir: Bullish   Short: 1.4% (3.6d)
P/E: 43.89
EPS: 7.49
1y Target Est: $346.82
Upside %: +5.5%
Div: $1.44 (0.44%)
Annual Dividend: $1.44
Ex-Dividend Date: Dec 28, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.18%
Dividend Growth: N/A
Earnings: Jan 22, 2026
Signal Confidence: HOLD
ATR(14): $6.49 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $328.73
Current
Stop Loss: $315.75
-3.9%
Target: $354.68
+7.9%
Risk/Reward: 3.9% / 7.9% (1:2)
Day
$321.46$328.73
52W
$158.75$329.43
Bollinger Bands
$278.37$305.38$332.40
Width: 17.7% – Inside
Implied Move Β±0.9%
$326.30$331.16

REGN β†— (Y, F, Z, S) $773.59

β–² +1.36% (+10.36)
5D: β–Ό -0.05% (-0.35)
1M: β–² +7.69% (+55.23)
6M: β–² +38.36% (+214.47)
YTD: β–² +0.22% (+1.72)
1Y: β–² +8.60% (+61.28)
Volume: 446.6K
52W: $475.17 - $792.77
Market Cap: 81.99B
Volatility: 37.0%
BB: Inside (13.9%)
MACD: +16.592 | +19.376 (Bearish)
MA: 50d: $718.46 | 200d: $604.12
P/C Vol Ratio: 0.60
Opt Dir: Bullish   Short: 2.8% (3.8d)
P/E: 18.53
EPS: 41.75
1y Target Est: $797.27
Upside %: +3.1%
Div: $3.52 (0.46%)
Annual Dividend: $3.52
Ex-Dividend Date: Nov 19, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.06%
Dividend Growth: N/A
Earnings: Jan 30, 2026
Signal Confidence: HOLD
ATR(14): $15.14 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $773.59
Current
Stop Loss: $743.30
-3.9%
Target: $834.15
+7.8%
Risk/Reward: 3.9% / 7.8% (1:2)
Day
$770.64$785.41
52W
$475.17$792.77
Bollinger Bands
$704.61$757.41$810.21
Width: 13.9% – Inside
Implied Move Β±2.8%
$755.48$791.69

HD β†— (Y, F, Z, S) $348.71

β–² +1.34% (+4.62)
5D: β–² +0.68% (+2.36)
1M: β–Ό -1.66% (-5.89)
6M: β–² +2.38% (+8.11)
YTD: β–² +1.34% (+4.61)
1Y: β–Ό -8.21% (-31.18)
Volume: 2.3M
52W: $320.39 - $424.01
Market Cap: 347.15B
Volatility: 23.9%
BB: Inside (5.7%)
MACD: -2.992 | -3.225 (Bullish)
MA: 50d: $356.51 | 200d: $369.12
P/C Vol Ratio: 0.62
Opt Dir: Bearish   Short: 1.0% (2.5d)
P/E: 23.79
EPS: 14.66
1y Target Est: $394.21
Upside %: +13.0%
Div: $9.20 (2.67%)
Annual Dividend: $9.20
Ex-Dividend Date: Dec 03, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.62%
Dividend Growth: N/A
Earnings: Nov 18, 2025
Signal Confidence: HOLD
ATR(14): $6.44 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $348.71
Current
Stop Loss: $335.84
-3.7%
Target: $374.46
+7.4%
Risk/Reward: 3.7% / 7.4% (1:2)
Day
$337.71$349.26
52W
$320.39$424.01
Bollinger Bands
$339.72$349.74$359.76
Width: 5.7% – Inside
Implied Move Β±1.9%
$343.15$354.28

LLY β†’ (Y, F, Z, S) $1055.39

β–² +1.33% (+13.88)
5D: β–Ό -2.26% (-24.36)
1M: β–² +4.46% (+45.08)
6M: β–² +29.76% (+242.03)
YTD: β–Ό -1.79% (-19.29)
1Y: β–² +38.97% (+295.95)
Volume: 1.5M
52W: $621.50 - $1111.99
Market Cap: 946.11B
Volatility: 27.1%
BB: Inside (12.2%)
MACD: +16.823 | +21.769 (Bearish)
MA: 50d: $1006.44 | 200d: $828.03
P/C Vol Ratio: 0.38
Opt Dir: Bullish   Short: 0.8% (2.8d)
P/E: 51.71
EPS: 20.41
1y Target Est: $1098.04
Upside %: +4.0%
Div: $6.23 (0.6%)
Annual Dividend: $6.23
Ex-Dividend Date: Feb 12, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.28%
Dividend Growth: N/A
Earnings: Feb 04, 2026
Signal Confidence: HOLD
ATR(14): $23.76 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $1055.39
Current
Stop Loss: $1007.87
-4.5%
Target: $1150.44
+9.0%
Risk/Reward: 4.5% / 9.0% (1:2)
Day
$1039.93$1070.83
52W
$621.50$1111.99
Bollinger Bands
$986.57$1050.51$1114.45
Width: 12.2% – Inside
Implied Move Β±2.5%
$1032.53$1078.26

SHLD ↑ (Y, F, Z, S) $70.86

β–² +1.32% (+0.93)
5D: β–² +8.54% (+5.58)
1M: β–² +13.18% (+8.25)
6M: β–² +42.59% (+21.16)
YTD: β–² +9.36% (+6.07)
1Y: β–² +90.21% (+33.60)
Volume: 993.7K
52W: $36.41 - $71.28
AUM: 4.83B
Volatility: 22.9%
BB: Above Upper (12.4%)
MACD: +1.166 | +0.545 (Bullish)
MA: 50d: $64.87 | 200d: $60.25
P/C Vol Ratio: 0.56
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 36.80
EPS: 1.93
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.41%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: May 31, 2018
Signal Confidence: HOLD
ATR(14): $1.13 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $70.86
Current
Stop Loss: $68.60
-3.2%
Target: $75.36
+6.4%
Risk/Reward: 3.2% / 6.4% (1:2)
Day
$70.33$70.94
52W
$36.41$71.28
Bollinger Bands
$61.28$65.34$69.40
Width: 12.4% – Above Upper
Implied Move Β±2.8%
$69.20$72.51

AVGO ↓ (Y, F, Z, S) $347.95

β–² +1.32% (+4.53)
5D: β–Ό -0.54% (-1.90)
1M: β–Ό -10.67% (-41.54)
6M: β–² +110.60% (+182.73)
YTD: β–² +0.53% (+1.85)
1Y: β–² +48.51% (+113.66)
Volume: 14.1M
52W: $137.28 - $413.82
Market Cap: 1.65T
Volatility: 52.0%
BB: Inside (29.6%)
MACD: -5.478 | -4.962 (Bearish)
MA: 50d: $361.38 | 200d: $290.46
P/C Vol Ratio: 0.82
Opt Dir: Bearish   Short: 1.7% (2.0d)
P/E: 72.95
EPS: 4.77
1y Target Est: $457.03
Upside %: +31.4%
Div: $2.60 (0.76%)
Annual Dividend: $2.60
Ex-Dividend Date: Dec 21, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.49%
Dividend Growth: N/A
Earnings: Mar 04, 2026
Signal Confidence: HOLD
ATR(14): $11.06 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $347.95
Current
Stop Loss: $325.83
-6.4%
Target: $392.19
+12.7%
Risk/Reward: 6.4% / 12.7% (1:2)
Day
$338.00$348.63
52W
$137.28$413.82
Bollinger Bands
$303.91$356.72$409.53
Width: 29.6% – Inside
Implied Move Β±3.1%
$338.64$357.26

ROST β†— (Y, F, Z, S) $189.06

β–² +1.27% (+2.38)
5D: β–² +4.19% (+7.61)
1M: β–² +6.53% (+11.59)
6M: β–² +40.63% (+54.62)
YTD: β–² +4.95% (+8.92)
1Y: β–² +23.37% (+35.81)
Volume: 1.5M
52W: $121.41 - $189.58
Market Cap: 61.49B
Volatility: 23.5%
BB: Above Upper (5.8%)
MACD: +3.483 | +3.576 (Bearish)
MA: 50d: $172.14 | 200d: $148.74
P/C Vol Ratio: 2.03
Opt Dir: Bearish   Short: 2.2% (3.2d)
P/E: 29.54
EPS: 6.40
1y Target Est: $186.25
Upside %: -1.5%
Div: $1.62 (0.87%)
Annual Dividend: $1.62
Ex-Dividend Date: Dec 08, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.25%
Dividend Growth: N/A
Earnings: Nov 20, 2025
Signal Confidence: HOLD
ATR(14): $2.67 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $189.06
Current
Stop Loss: $183.72
-2.8%
Target: $199.73
+5.6%
Risk/Reward: 2.8% / 5.6% (1:2)
Day
$185.43$189.58
52W
$121.41$189.58
Bollinger Bands
$176.78$182.06$187.34
Width: 5.8% – Above Upper
Implied Move Β±0.8%
$187.83$190.29

XLK ↑ (Y, F, Z, S) $146.43

β–² +1.26% (+1.82)
5D: β–² +0.70% (+1.02)
1M: β–² +0.04% (+0.06)
6M: β–² +56.58% (+52.91)
YTD: β–² +1.71% (+2.46)
1Y: β–² +23.43% (+27.80)
Volume: 10.4M
52W: $85.84 - $152.76
Market Cap: 39.84B
Volatility: 20.6%
BB: Inside (6.6%)
MACD: +0.416 | +0.351 (Bullish)
MA: 50d: $144.79 | 200d: $128.55
P/C Vol Ratio: 0.44
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 39.36
EPS: 3.72
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.53%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.96 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $146.43
Current
Stop Loss: $142.51
-2.7%
Target: $154.29
+5.4%
Risk/Reward: 2.7% / 5.4% (1:2)
Day
$144.63$146.51
52W
$85.84$152.76
Bollinger Bands
$140.16$144.94$149.72
Width: 6.6% – Inside
Implied Move Β±1.5%
$144.53$148.34

HON ↑ (Y, F, Z, S) $203.54

β–² +1.22% (+2.45)
5D: β–² +3.66% (+7.18)
1M: β–² +6.38% (+12.21)
6M: β–² +13.01% (+23.43)
YTD: β–² +4.33% (+8.45)
1Y: β–Ό -0.48% (-0.99)
Volume: 1.2M
52W: $166.32 - $225.29
Market Cap: 137.16B
Volatility: 23.4%
BB: Above Upper (6.5%)
MACD: +1.438 | +0.883 (Bullish)
MA: 50d: $195.58 | 200d: $200.46
P/C Vol Ratio: 0.41
Opt Dir: Bearish   Short: 1.5% (3.0d)
P/E: 21.49
EPS: 9.47
1y Target Est: $235.57
Upside %: +15.7%
Div: $4.58 (2.28%)
Annual Dividend: $4.58
Ex-Dividend Date: Nov 13, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.48%
Dividend Growth: N/A
Earnings: Jan 29, 2026
Signal Confidence: HOLD
ATR(14): $3.06 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $203.54
Current
Stop Loss: $197.42
-3.0%
Target: $215.77
+6.0%
Risk/Reward: 3.0% / 6.0% (1:2)
Day
$200.51$203.70
52W
$166.32$225.29
Bollinger Bands
$190.05$196.47$202.88
Width: 6.5% – Above Upper
Implied Move Β±1.5%
$200.91$206.17

MSFU ↓ (Y, F, Z, S) $40.07

β–² +1.19% (+0.47)
5D: β–Ό -4.98% (-2.10)
1M: β–Ό -4.26% (-1.78)
6M: β–² +60.12% (+15.04)
YTD: β–Ό -3.33% (-1.38)
1Y: β–² +6.41% (+2.41)
Volume: 1.1M
52W: $23.38 - $57.52
AUM: 245.62M
Volatility: 38.1%
BB: Inside (10.7%)
MACD: -0.800 | -0.766 (Bearish)
MA: 50d: $43.83 | 200d: $42.99
P/C Vol Ratio: 0.79
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 30.36
EPS: 1.32
1y Target Est: N/A
Upside %: N/A
Div: N/A (5.57%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.03 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $40.07
Current
Stop Loss: $38.01
-5.1%
Target: $44.19
+10.3%
Risk/Reward: 5.1% / 10.3% (1:2)
Day
$39.08$40.12
52W
$23.38$57.52
Bollinger Bands
$39.18$41.40$43.61
Width: 10.7% – Inside
Implied Move Β±14.6%
$35.10$45.04

MRK ↑ (Y, F, Z, S) $108.69

β–² +1.16% (+1.25)
5D: β–² +2.48% (+2.63)
1M: β–² +9.93% (+9.82)
6M: β–² +43.62% (+33.01)
YTD: β–² +3.26% (+3.43)
1Y: β–² +13.09% (+12.58)
Volume: 7.3M
52W: $71.26 - $110.17
Market Cap: 271.48B
Volatility: 26.4%
BB: Inside (16.0%)
MACD: +3.100 | +2.918 (Bullish)
MA: 50d: $96.51 | 200d: $84.42
P/C Vol Ratio: 0.44
Opt Dir: Bullish   Short: 1.7% (2.7d)
P/E: 14.38
EPS: 7.56
1y Target Est: $110.04
Upside %: +1.2%
Div: $3.40 (3.16%)
Annual Dividend: $3.40
Ex-Dividend Date: Dec 14, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.43%
Dividend Growth: N/A
Earnings: Feb 03, 2026
Signal Confidence: HOLD
ATR(14): $2.13 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $108.69
Current
Stop Loss: $104.43
-3.9%
Target: $117.22
+7.8%
Risk/Reward: 3.9% / 7.8% (1:2)
Day
$107.89$110.17
52W
$71.26$110.17
Bollinger Bands
$94.35$102.58$110.80
Width: 16.0% – Inside
Implied Move Β±1.9%
$106.92$110.46

FNGG ↓ (Y, F, Z, S) $204.00

β–² +1.15% (+2.31)
5D: β–Ό -2.62% (-5.49)
1M: β–Ό -10.68% (-24.39)
6M: β–² +96.89% (+100.39)
YTD: β–Ό -1.11% (-2.28)
1Y: β–² +17.97% (+31.07)
Volume: 4.3K
52W: $87.30 - $248.19
AUM: 133.73M
Volatility: 39.6%
BB: Inside (17.9%)
MACD: -4.872 | -4.332 (Bearish)
MA: 50d: $221.33 | 200d: $189.76
P/C Vol Ratio: 6.19
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 33.04
EPS: 6.17
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.73%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $4.63 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $204.00
Current
Stop Loss: $194.74
-4.5%
Target: $222.53
+9.1%
Risk/Reward: 4.5% / 9.1% (1:2)
Day
$200.95$204.00
52W
$87.30$248.19
Bollinger Bands
$192.34$211.30$230.25
Width: 17.9% – Inside
Implied Move Β±18.2%
$172.46$235.54

TSM ↑ (Y, F, Z, S) $325.93

β–² +1.14% (+3.68)
5D: β–² +8.80% (+26.36)
1M: β–² +10.89% (+32.01)
6M: β–² +122.54% (+179.47)
YTD: β–² +7.25% (+22.04)
1Y: β–² +50.14% (+108.85)
Volume: 10.7M
52W: $132.98 - $333.08
Market Cap: 1.69T
Volatility: 33.2%
BB: Above Upper (16.8%)
MACD: +7.196 | +3.871 (Bullish)
MA: 50d: $294.00 | 200d: $239.31
P/C Vol Ratio: 1.47
Opt Dir: Strong Bearish   Short: 0.5% (2.8d)
P/E: 33.71
EPS: 9.67
1y Target Est: $356.04
Upside %: +9.2%
Div: $3.37 (1.04%)
Annual Dividend: $3.37
Ex-Dividend Date: Mar 16, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.30%
Dividend Growth: N/A
Earnings: Jan 15, 2026
Signal Confidence: HOLD
ATR(14): $8.24 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $325.93
Current
Stop Loss: $309.46
-5.1%
Target: $358.89
+10.1%
Risk/Reward: 5.1% / 10.1% (1:2)
Day
$325.03$333.08
52W
$132.98$333.08
Bollinger Bands
$274.72$299.96$325.19
Width: 16.8% – Above Upper
Implied Move Β±3.2%
$317.18$334.69

ADP β†˜ (Y, F, Z, S) $260.26

β–² +1.14% (+2.94)
5D: β–² +0.28% (+0.73)
1M: β–² +0.12% (+0.31)
6M: β–Ό -7.10% (-19.90)
YTD: β–² +1.18% (+3.03)
1Y: β–Ό -7.35% (-20.64)
Volume: 842.4K
52W: $245.59 - $324.50
Market Cap: 105.43B
Volatility: 20.5%
BB: Inside (5.2%)
MACD: -0.439 | -0.301 (Bearish)
MA: 50d: $257.69 | 200d: $287.99
P/C Vol Ratio: 1.30
Opt Dir: Strong Bearish   Short: 2.1% (3.4d)
P/E: 25.67
EPS: 10.14
1y Target Est: $289.54
Upside %: +11.2%
Div: $6.80 (2.64%)
Annual Dividend: $6.80
Ex-Dividend Date: Dec 11, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.61%
Dividend Growth: N/A
Earnings: Jan 28, 2026
Signal Confidence: HOLD
ATR(14): $4.12 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $260.26
Current
Stop Loss: $252.01
-3.2%
Target: $276.76
+6.3%
Risk/Reward: 3.2% / 6.3% (1:2)
Day
$255.47$260.59
52W
$245.59$324.50
Bollinger Bands
$252.91$259.62$266.32
Width: 5.2% – Inside
Implied Move Β±1.8%
$256.33$264.19

FTNT ↓ (Y, F, Z, S) $78.82

β–² +1.13% (+0.88)
5D: β–Ό -1.86% (-1.49)
1M: β–Ό -9.32% (-8.10)
6M: β–Ό -14.99% (-13.90)
YTD: β–Ό -0.74% (-0.59)
1Y: β–Ό -19.52% (-19.12)
Volume: 2.2M
52W: $70.12 - $114.82
Market Cap: 60.40B
Volatility: 26.7%
BB: Inside (8.1%)
MACD: -0.943 | -0.658 (Bearish)
MA: 50d: $82.03 | 200d: $91.01
P/C Vol Ratio: 0.18
Opt Dir: Bullish   Short: 3.8% (4.2d)
P/E: 32.44
EPS: 2.43
1y Target Est: $87.19
Upside %: +10.6%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Feb 05, 2026
Signal Confidence: HOLD
ATR(14): $1.66 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $78.82
Current
Stop Loss: $75.50
-4.2%
Target: $85.45
+8.4%
Risk/Reward: 4.2% / 8.4% (1:2)
Day
$77.65$79.20
52W
$70.12$114.82
Bollinger Bands
$77.56$80.85$84.14
Width: 8.1% – Inside
Implied Move Β±2.5%
$77.14$80.50

CTAS ↓ (Y, F, Z, S) $187.55

β–² +1.13% (+2.09)
5D: β–Ό -1.47% (-2.80)
1M: β–² +0.43% (+0.80)
6M: β–Ό -5.83% (-11.61)
YTD: β–Ό -0.28% (-0.52)
1Y: β–² +2.15% (+3.95)
Volume: 424.4K
52W: $179.96 - $228.23
Market Cap: 75.57B
Volatility: 18.0%
BB: Inside (5.7%)
MACD: +0.276 | +0.653 (Bearish)
MA: 50d: $186.19 | 200d: $204.42
P/C Vol Ratio: 0.60
Opt Dir: Bearish   Short: 2.4% (4.2d)
P/E: 40.60
EPS: 4.62
1y Target Est: $214.56
Upside %: +14.4%
Div: $1.80 (0.97%)
Annual Dividend: $1.80
Ex-Dividend Date: Nov 13, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.36%
Dividend Growth: N/A
Earnings: Dec 18, 2025
Signal Confidence: HOLD
ATR(14): $3.46 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $187.55
Current
Stop Loss: $180.64
-3.7%
Target: $201.37
+7.4%
Risk/Reward: 3.7% / 7.4% (1:2)
Day
$184.28$187.91
52W
$179.96$228.23
Bollinger Bands
$182.75$188.06$193.38
Width: 5.7% – Inside
Implied Move Β±1.7%
$184.76$190.34

XLI ↑ (Y, F, Z, S) $161.64

β–² +1.12% (+1.79)
5D: β–² +3.34% (+5.22)
1M: β–² +4.93% (+7.59)
6M: β–² +33.37% (+40.44)
YTD: β–² +4.20% (+6.52)
1Y: β–² +23.73% (+31.01)
Volume: 8.4M
52W: $111.56 - $161.65
Market Cap: 22.08B
Volatility: 13.7%
BB: Above Upper (5.5%)
MACD: +1.577 | +1.178 (Bullish)
MA: 50d: $153.97 | 200d: $146.07
P/C Vol Ratio: 1.12
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 27.76
EPS: 5.82
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.39%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.73 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $161.64
Current
Stop Loss: $158.18
-2.1%
Target: $168.56
+4.3%
Risk/Reward: 2.1% / 4.3% (1:2)
Day
$159.18$161.65
52W
$111.56$161.65
Bollinger Bands
$152.05$156.32$160.60
Width: 5.5% – Above Upper
Implied Move Β±0.2%
$161.34$161.94

TMO ↑ (Y, F, Z, S) $618.01

β–² +1.11% (+6.81)
5D: β–² +5.92% (+34.56)
1M: β–² +7.98% (+45.67)
6M: β–² +46.89% (+197.29)
YTD: β–² +6.65% (+38.56)
1Y: β–² +15.45% (+82.71)
Volume: 1.6M
52W: $384.82 - $628.08
Market Cap: 232.19B
Volatility: 18.2%
BB: Above Upper (10.1%)
MACD: +8.104 | +4.076 (Bullish)
MA: 50d: $576.52 | 200d: $485.80
P/C Vol Ratio: 1.62
Opt Dir: Bearish   Short: 1.4% (3.8d)
P/E: 35.72
EPS: 17.30
1y Target Est: $641.57
Upside %: +3.8%
Div: $1.72 (0.28%)
Annual Dividend: $1.72
Ex-Dividend Date: Dec 14, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.10%
Dividend Growth: N/A
Earnings: Jan 29, 2026
Signal Confidence: HOLD
ATR(14): $10.86 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $618.01
Current
Stop Loss: $596.28
-3.5%
Target: $661.47
+7.0%
Risk/Reward: 3.5% / 7.0% (1:2)
Day
$614.25$628.08
52W
$384.82$628.08
Bollinger Bands
$549.72$578.91$608.10
Width: 10.1% – Above Upper
Implied Move Β±0.9%
$613.51$622.52

XBI β†˜ (Y, F, Z, S) $121.47

β–² +1.10% (+1.32)
5D: β–Ό -0.16% (-0.20)
1M: β–Ό -1.25% (-1.53)
6M: β–² +61.46% (+46.24)
YTD: β–Ό -0.38% (-0.46)
1Y: β–² +32.22% (+29.60)
Volume: 5.4M
52W: $66.42 - $126.50
AUM: 8.33B
Volatility: 23.2%
BB: Inside (6.0%)
MACD: +1.103 | +1.828 (Bearish)
MA: 50d: $117.70 | 200d: $94.75
P/C Vol Ratio: 0.79
Opt Dir: Bullish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.03%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.38 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $121.47
Current
Stop Loss: $116.72
-3.9%
Target: $130.97
+7.8%
Risk/Reward: 3.9% / 7.8% (1:2)
Day
$120.40$122.10
52W
$66.42$126.50
Bollinger Bands
$118.83$122.52$126.22
Width: 6.0% – Inside
Implied Move Β±1.8%
$119.58$123.36

SSO ↑ (Y, F, Z, S) $59.53

β–² +1.10% (+0.65)
5D: β–² +1.23% (+0.73)
1M: β–² +1.81% (+1.06)
6M: β–² +74.96% (+25.50)
YTD: β–² +2.77% (+1.61)
1Y: β–² +25.76% (+12.19)
Volume: 6.4M
52W: $30.24 - $59.63
AUM: 7.25B
Volatility: 23.4%
BB: Inside (6.4%)
MACD: +0.460 | +0.421 (Bullish)
MA: 50d: $57.60 | 200d: $50.30
P/C Vol Ratio: 0.48
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 28.05
EPS: 2.12
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.69%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.91 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $59.53
Current
Stop Loss: $57.71
-3.0%
Target: $63.15
+6.1%
Risk/Reward: 3.0% / 6.1% (1:2)
Day
$58.87$59.54
52W
$30.24$59.63
Bollinger Bands
$56.40$58.27$60.14
Width: 6.4% – Inside
Implied Move Β±1.6%
$58.70$60.35

MCD ↓ (Y, F, Z, S) $303.12

β–² +1.09% (+3.26)
5D: β–Ό -1.59% (-4.91)
1M: β–Ό -2.61% (-8.11)
6M: β–Ό -0.10% (-0.31)
YTD: β–Ό -0.82% (-2.51)
1Y: β–² +6.16% (+17.60)
Volume: 1.7M
52W: $270.23 - $321.79
Market Cap: 216.31B
Volatility: 17.7%
BB: Inside (7.1%)
MACD: -1.110 | +0.708 (Bearish)
MA: 50d: $306.57 | 200d: $303.34
P/C Vol Ratio: 0.44
Opt Dir: Bullish   Short: 1.2% (2.9d)
P/E: 25.86
EPS: 11.72
1y Target Est: $331.20
Upside %: +9.3%
Div: $7.44 (2.48%)
Annual Dividend: $7.44
Ex-Dividend Date: Nov 30, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.60%
Dividend Growth: N/A
Earnings: Nov 05, 2025
Signal Confidence: HOLD
ATR(14): $4.05 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $303.12
Current
Stop Loss: $295.01
-2.7%
Target: $319.33
+5.3%
Risk/Reward: 2.7% / 5.3% (1:2)
Day
$298.33$304.18
52W
$270.23$321.79
Bollinger Bands
$300.10$311.22$322.34
Width: 7.1% – Inside
Implied Move Β±1.4%
$299.56$306.68

PFE β†˜ (Y, F, Z, S) $25.44

β–² +1.07% (+0.27)
5D: β–² +1.80% (+0.45)
1M: β–Ό -2.27% (-0.59)
6M: β–² +21.77% (+4.55)
YTD: β–² +2.17% (+0.54)
1Y: β–² +1.45% (+0.36)
Volume: 26.7M
52W: $19.83 - $27.21
Market Cap: 144.64B
Volatility: 21.6%
BB: Inside (6.4%)
MACD: -0.028 | -0.010 (Bearish)
MA: 50d: $25.08 | 200d: $23.89
P/C Vol Ratio: 0.14
Opt Dir: Bearish   Short: 2.5% (3.6d)
P/E: 14.79
EPS: 1.72
1y Target Est: $28.62
Upside %: +12.5%
Div: $1.72 (6.83%)
Annual Dividend: $1.72
Ex-Dividend Date: Jan 22, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.99%
Dividend Growth: N/A
Earnings: Feb 03, 2026
Signal Confidence: HOLD
ATR(14): $0.45 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $25.44
Current
Stop Loss: $24.53
-3.6%
Target: $27.26
+7.1%
Risk/Reward: 3.6% / 7.1% (1:2)
Day
$25.30$26.00
52W
$19.83$27.21
Bollinger Bands
$24.52$25.33$26.15
Width: 6.4% – Inside
Implied Move Β±1.6%
$25.09$25.79

ADSK ↓ (Y, F, Z, S) $291.74

β–² +1.07% (+3.08)
5D: β–Ό -2.60% (-7.80)
1M: β–Ό -4.89% (-15.00)
6M: β–² +14.74% (+37.47)
YTD: β–Ό -1.44% (-4.27)
1Y: β–Ό -0.26% (-0.77)
Volume: 244.9K
52W: $232.67 - $329.09
Market Cap: 62.14B
Volatility: 20.1%
BB: Inside (5.9%)
MACD: -2.198 | -1.271 (Bearish)
MA: 50d: $299.05 | 200d: $295.99
P/C Vol Ratio: 1.59
Opt Dir: Strong Bearish   Short: 1.8% (3.3d)
P/E: 56.76
EPS: 5.14
1y Target Est: $366.13
Upside %: +25.5%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Mar 21, 2005
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 25, 2025
Signal Confidence: HOLD
ATR(14): $4.99 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $291.74
Current
Stop Loss: $281.75
-3.4%
Target: $311.71
+6.8%
Risk/Reward: 3.4% / 6.8% (1:2)
Day
$287.53$291.84
52W
$232.67$329.09
Bollinger Bands
$288.39$297.11$305.83
Width: 5.9% – Inside
Implied Move Β±2.1%
$286.60$296.88

ALNY β†’ (Y, F, Z, S) $402.07

β–² +1.07% (+4.24)
5D: β–² +1.21% (+4.82)
1M: β–Ό -12.23% (-56.05)
6M: β–² +72.75% (+169.32)
YTD: β–² +1.11% (+4.42)
1Y: β–² +72.45% (+168.92)
Volume: 849.5K
52W: $205.87 - $495.55
Market Cap: 53.12B
Volatility: 34.2%
BB: Inside (9.1%)
MACD: -10.161 | -11.844 (Bullish)
MA: 50d: $432.09 | 200d: $373.37
P/C Vol Ratio: 0.98
Opt Dir: Neutral   Short: 4.2% (2.2d)
P/E: 1256.47
EPS: 0.32
1y Target Est: $490.50
Upside %: +22.0%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $10.59 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $402.07
Current
Stop Loss: $380.90
-5.3%
Target: $444.41
+10.5%
Risk/Reward: 5.3% / 10.5% (1:2)
Day
$384.42$403.11
52W
$205.87$495.55
Bollinger Bands
$383.38$401.62$419.86
Width: 9.1% – Inside
Implied Move Β±7.1%
$377.97$426.17

NOW ↓ (Y, F, Z, S) $149.15

β–² +1.05% (+1.55)
5D: β–Ό -3.29% (-5.08)
1M: β–Ό -12.71% (-21.72)
6M: β–Ό -1.35% (-2.05)
YTD: β–Ό -2.64% (-4.04)
1Y: β–Ό -30.76% (-66.26)
Volume: 3.2M
52W: $135.73 - $239.62
Market Cap: 157.37B
Volatility: 33.8%
BB: Inside (21.9%)
MACD: -5.019 | -4.547 (Bearish)
MA: 50d: $166.28 | 200d: $181.17
P/C Vol Ratio: 0.89
Opt Dir: Bearish   Short: 1.8% (1.9d)
P/E: 90.39
EPS: 1.65
1y Target Est: $224.37
Upside %: +50.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $3.88 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $149.15
Current
Stop Loss: $141.39
-5.2%
Target: $164.67
+10.4%
Risk/Reward: 5.2% / 10.4% (1:2)
Day
$147.07$149.44
52W
$135.73$239.62
Bollinger Bands
$140.54$157.85$175.16
Width: 21.9% – Inside
Implied Move Β±2.6%
$145.83$152.47

FTEC ↑ (Y, F, Z, S) $228.15

β–² +1.01% (+2.28)
5D: β–² +0.57% (+1.29)
1M: β–Ό -0.25% (-0.58)
6M: β–² +56.51% (+82.38)
YTD: β–² +1.55% (+3.48)
1Y: β–² +20.10% (+38.18)
Volume: 275.0K
52W: $133.64 - $239.96
AUM: 16.66B
Volatility: 20.6%
BB: Inside (6.6%)
MACD: +0.377 | +0.276 (Bullish)
MA: 50d: $226.82 | 200d: $201.49
P/C Vol Ratio: 0.20
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 39.60
EPS: 5.76
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.4%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.91 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $228.15
Current
Stop Loss: $222.34
-2.5%
Target: $239.77
+5.1%
Risk/Reward: 2.5% / 5.1% (1:2)
Day
$225.82$228.24
52W
$133.64$239.96
Bollinger Bands
$218.95$226.44$233.93
Width: 6.6% – Inside
Implied Move Β±2.8%
$222.76$233.55

ORCX β†’ (Y, F, Z, S) $16.98

β–² +1.01% (+0.17)
5D: β–Ό -3.74% (-0.66)
1M: β–Ό -23.79% (-5.30)
6M: β–² +81.41% (+7.62)
YTD: β–Ό -1.45% (-0.25)
1Y: β–Ό -17.41% (-3.58)
Volume: 7.5M
52W: $9.05 - $60.53
AUM: 163.17M
Volatility: 102.8%
BB: Inside (55.7%)
MACD: -1.626 | -2.051 (Bullish)
MA: 50d: $22.87 | 200d: $26.46
P/C Vol Ratio: 0.76
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 26.78
EPS: 0.63
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.07 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $16.98
Current
Stop Loss: $14.84
-12.6%
Target: $21.27
+25.2%
Risk/Reward: 12.6% / 25.2% (1:2)
Day
$16.51$16.98
52W
$9.05$60.53
Bollinger Bands
$12.88$17.84$22.81
Width: 55.7% – Inside
Implied Move Β±11.5%
$15.32$18.64

VGT ↑ (Y, F, Z, S) $765.04

β–² +1.01% (+7.62)
5D: β–² +0.55% (+4.15)
1M: β–Ό -0.28% (-2.15)
6M: β–² +56.08% (+274.88)
YTD: β–² +1.49% (+11.26)
1Y: β–² +19.78% (+126.35)
Volume: 408.3K
52W: $449.54 - $806.17
AUM: 129.96B
Volatility: 20.6%
BB: Inside (6.6%)
MACD: +1.167 | +0.822 (Bullish)
MA: 50d: $760.95 | 200d: $676.94
P/C Vol Ratio: 0.94
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 39.89
EPS: 19.18
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.41%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $9.86 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $765.04
Current
Stop Loss: $745.33
-2.6%
Target: $804.47
+5.2%
Risk/Reward: 2.6% / 5.2% (1:2)
Day
$757.10$765.45
52W
$449.54$806.17
Bollinger Bands
$734.45$759.47$784.48
Width: 6.6% – Inside
Implied Move Β±2.7%
$747.52$782.56

BULZ ↑ (Y, F, Z, S) $265.03

β–² +0.99% (+2.59)
5D: β–Ό -1.05% (-2.80)
1M: β–Ό -4.67% (-12.97)
6M: β–² +282.71% (+195.78)
YTD: β–² +2.11% (+5.48)
1Y: β–² +49.77% (+88.07)
Volume: 478.1K
52W: $57.00 - $335.58
AUM: 2.14B
Volatility: 81.8%
BB: Inside (21.7%)
MACD: -0.323 | -0.475 (Bullish)
MA: 50d: $271.10 | 200d: $198.18
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 50.50
EPS: 5.25
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: Aug 25, 2025
Signal Confidence: HOLD
ATR(14): $13.05 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $265.03
Current
Stop Loss: $238.93
-9.8%
Target: $317.22
+19.7%
Risk/Reward: 9.8% / 19.7% (1:2)
Day
$257.24$265.39
52W
$57.00$335.58
Bollinger Bands
$235.97$264.73$293.49
Width: 21.7% – Inside

SKYY ↓ (Y, F, Z, S) $129.81

β–² +0.97% (+1.24)
5D: β–Ό -1.18% (-1.55)
1M: β–Ό -1.80% (-2.38)
6M: β–² +40.86% (+37.65)
YTD: β–Ό -0.21% (-0.27)
1Y: β–² +5.18% (+6.39)
Volume: 38.0K
52W: $85.38 - $143.74
AUM: 3.04B
Volatility: 21.1%
BB: Inside (6.7%)
MACD: -0.642 | -0.409 (Bearish)
MA: 50d: $132.81 | 200d: $122.60
P/C Vol Ratio: 0.40
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 34.93
EPS: 3.72
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.85 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $129.81
Current
Stop Loss: $126.11
-2.9%
Target: $137.22
+5.7%
Risk/Reward: 2.9% / 5.7% (1:2)
Day
$128.10$129.81
52W
$85.38$143.74
Bollinger Bands
$127.01$131.45$135.89
Width: 6.7% – Inside
Implied Move Β±3.8%
$125.67$133.95

MS ↑ (Y, F, Z, S) $188.33

β–² +0.96% (+1.79)
5D: β–² +5.17% (+9.25)
1M: β–² +6.70% (+11.82)
6M: β–² +80.93% (+84.24)
YTD: β–² +6.09% (+10.80)
1Y: β–² +50.50% (+63.20)
Volume: 1.6M
52W: $92.37 - $188.75
Market Cap: 300.65B
Volatility: 23.5%
BB: Above Upper (7.9%)
MACD: +3.923 | +3.539 (Bullish)
MA: 50d: $170.98 | 200d: $144.54
P/C Vol Ratio: 0.51
Opt Dir: Bullish   Short: 1.3% (3.6d)
P/E: 19.30
EPS: 9.76
1y Target Est: $177.00
Upside %: -6.0%
Div: $4.00 (2.14%)
Annual Dividend: $4.00
Ex-Dividend Date: Oct 30, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.39%
Dividend Growth: N/A
Earnings: Jan 15, 2026
Signal Confidence: HOLD
ATR(14): $3.32 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $188.33
Current
Stop Loss: $181.69
-3.5%
Target: $201.63
+7.1%
Risk/Reward: 3.5% / 7.1% (1:2)
Day
$185.75$188.75
52W
$92.37$188.75
Bollinger Bands
$172.35$179.46$186.57
Width: 7.9% – Above Upper
Implied Move Β±1.4%
$186.14$190.53

ADBE ↓ (Y, F, Z, S) $334.69

β–² +0.94% (+3.13)
5D: β–Ό -5.06% (-17.82)
1M: β–Ό -3.34% (-11.57)
6M: β–Ό -2.49% (-8.53)
YTD: β–Ό -4.37% (-15.30)
1Y: β–Ό -22.38% (-96.49)
Volume: 1.5M
52W: $311.59 - $465.70
Market Cap: 141.98B
Volatility: 28.9%
BB: Inside (9.3%)
MACD: +0.616 | +3.480 (Bearish)
MA: 50d: $338.27 | 200d: $361.82
P/C Vol Ratio: 0.50
Opt Dir: Bullish   Short: 2.8% (3.3d)
P/E: 20.03
EPS: 16.71
1y Target Est: $427.77
Upside %: +27.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Mar 23, 2005
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Mar 12, 2026
Signal Confidence: HOLD
ATR(14): $7.31 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $334.69
Current
Stop Loss: $320.08
-4.4%
Target: $363.92
+8.7%
Risk/Reward: 4.4% / 8.7% (1:2)
Day
$329.50$336.33
52W
$311.59$465.70
Bollinger Bands
$332.33$348.54$364.74
Width: 9.3% – Inside
Implied Move Β±2.5%
$327.70$341.68

MMM β†— (Y, F, Z, S) $165.07

β–² +0.93% (+1.52)
5D: β–² +2.42% (+3.90)
1M: β–Ό -1.44% (-2.41)
6M: β–² +32.73% (+40.71)
YTD: β–² +3.10% (+4.97)
1Y: β–² +29.09% (+37.19)
Volume: 1.3M
52W: $120.31 - $174.69
Market Cap: 87.92B
Volatility: 24.6%
BB: Inside (6.5%)
MACD: -0.940 | -1.144 (Bullish)
MA: 50d: $165.63 | 200d: $152.63
P/C Vol Ratio: 0.58
Opt Dir: Bullish   Short: 1.3% (3.6d)
P/E: 26.37
EPS: 6.26
1y Target Est: $174.56
Upside %: +5.8%
Div: $2.92 (1.79%)
Annual Dividend: $2.92
Ex-Dividend Date: Nov 13, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.46%
Dividend Growth: N/A
Earnings: Jan 20, 2026
Signal Confidence: HOLD
ATR(14): $2.60 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $165.07
Current
Stop Loss: $159.88
-3.1%
Target: $175.46
+6.3%
Risk/Reward: 3.1% / 6.3% (1:2)
Day
$161.82$165.65
52W
$120.31$174.69
Bollinger Bands
$157.86$163.15$168.44
Width: 6.5% – Inside
Implied Move Β±2.7%
$161.26$168.88

FAST β†’ (Y, F, Z, S) $41.53

β–² +0.91% (+0.38)
5D: β–² +1.60% (+0.66)
1M: β–² +0.06% (+0.03)
6M: β–² +5.03% (+1.99)
YTD: β–² +3.48% (+1.40)
1Y: β–² +17.85% (+6.29)
Volume: 3.1M
52W: $34.77 - $50.37
Market Cap: 47.67B
Volatility: 23.5%
BB: Inside (6.9%)
MACD: -0.086 | -0.015 (Bearish)
MA: 50d: $41.08 | 200d: $42.84
P/C Vol Ratio: 2.14
Opt Dir: Strong Bearish   Short: 3.1% (4.5d)
P/E: 38.81
EPS: 1.07
1y Target Est: $44.00
Upside %: +6.0%
Div: $0.88 (2.14%)
Annual Dividend: $0.88
Ex-Dividend Date: Oct 27, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.80%
Dividend Growth: N/A
Earnings: Jan 19, 2026
Signal Confidence: HOLD
ATR(14): $0.66 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $41.53
Current
Stop Loss: $40.21
-3.2%
Target: $44.15
+6.3%
Risk/Reward: 3.2% / 6.3% (1:2)
Day
$40.75$41.54
52W
$34.77$50.37
Bollinger Bands
$40.05$41.48$42.91
Width: 6.9% – Inside
Implied Move Β±2.8%
$40.53$42.52

DDOG β†˜ (Y, F, Z, S) $134.85

β–² +0.91% (+1.21)
5D: β–Ό -1.91% (-2.63)
1M: β–Ό -10.94% (-16.56)
6M: β–² +51.65% (+45.93)
YTD: β–Ό -0.84% (-1.14)
1Y: β–Ό -7.66% (-11.19)
Volume: 1.2M
52W: $81.63 - $201.69
Market Cap: 47.29B
Volatility: 59.3%
BB: Inside (17.8%)
MACD: -6.160 | -6.229 (Bullish)
MA: 50d: $156.97 | 200d: $134.66
P/C Vol Ratio: 0.79
Opt Dir: Bearish   Short: 2.6% (3.0d)
P/E: 435.00
EPS: 0.31
1y Target Est: $210.78
Upside %: +56.3%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: HOLD
ATR(14): $3.42 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $134.85
Current
Stop Loss: $128.01
-5.1%
Target: $148.52
+10.1%
Risk/Reward: 5.1% / 10.1% (1:2)
Day
$131.68$135.42
52W
$81.63$201.69
Bollinger Bands
$128.63$141.23$153.82
Width: 17.8% – Inside
Implied Move Β±3.8%
$130.45$139.25

IYW ↑ (Y, F, Z, S) $202.11

β–² +0.85% (+1.71)
5D: β–² +0.30% (+0.60)
1M: β–Ό -0.38% (-0.77)
6M: β–² +58.31% (+74.44)
YTD: β–² +1.22% (+2.43)
1Y: β–² +22.79% (+37.51)
Volume: 569.3K
52W: $117.42 - $211.92
Market Cap: 4.17B
Volatility: 20.0%
BB: Inside (6.1%)
MACD: +0.476 | +0.400 (Bullish)
MA: 50d: $200.74 | 200d: $177.54
P/C Vol Ratio: 1.15
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 37.80
EPS: 5.35
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.14%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.52 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $202.11
Current
Stop Loss: $197.06
-2.5%
Target: $212.20
+5.0%
Risk/Reward: 2.5% / 5.0% (1:2)
Day
$200.35$202.21
52W
$117.42$211.92
Bollinger Bands
$194.42$200.59$206.75
Width: 6.1% – Inside
Implied Move Β±2.9%
$197.19$207.03

NTSK ↓ (Y, F, Z, S) $17.30

β–² +0.85% (+0.15)
5D: β–Ό -3.54% (-0.64)
1M: β–Ό -16.57% (-3.43)
6M: β–Ό -23.10% (-5.19)
YTD: β–Ό -1.40% (-0.25)
1Y: β–Ό -23.10% (-5.19)
Volume: 1.7M
52W: $16.57 - $27.99
Market Cap: 6.80B
Volatility: 67.3%
BB: Inside (41.2%)
MACD: -0.822 | -0.624 (Bearish)
MA: 50d: $20.11 | 200d: $nan
P/C Vol Ratio: 0.07
Opt Dir: Bearish   Short: N/A (2.3d)
P/E: -83.79
EPS: -3.06
1y Target Est: $27.00
Upside %: +56.1%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.89 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $17.30
Current
Stop Loss: $15.51
-10.3%
Target: $20.86
+20.6%
Risk/Reward: 10.3% / 20.6% (1:2)
Day
$16.74$17.36
52W
$16.57$27.99
Bollinger Bands
$15.39$19.38$23.38
Width: 41.2% – Inside
Implied Move Β±9.0%
$15.98$18.61

FDGFX β†’ (Y, F, Z, S) $43.35

β–² +0.84% (+0.36)
5D: β–² +1.19% (+0.51)
1M: β–² +0.09% (+0.04)
6M: β–² +44.08% (+13.26)
YTD: β–² +1.86% (+0.79)
1Y: β–² +25.55% (+8.82)
Volume: 0
52W: $28.15 - $44.07
AUM: 10.27B
Volatility: 15.6%
BB: Inside (4.2%)
MACD: +0.108 | +0.197 (Bearish)
MA: 50d: $42.72 | 200d: $38.00
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: $0.38 (1.01%)
Annual Dividend: $0.38
Ex-Dividend Date: N/A
Payout Frequency: Quarterly
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.33 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $43.35
Current
Stop Loss: $42.69
-1.5%
Target: $44.67
+3.0%
Risk/Reward: 1.5% / 3.0% (1:2)
Day
$42.56$43.35
52W
$28.15$44.07
Bollinger Bands
$42.40$43.32$44.24
Width: 4.2% – Inside

CPRT β†— (Y, F, Z, S) $38.86

β–² +0.83% (+0.32)
5D: β–Ό -1.62% (-0.64)
1M: β–² +0.36% (+0.14)
6M: β–Ό -33.83% (-19.87)
YTD: β–Ό -0.74% (-0.29)
1Y: β–Ό -31.32% (-17.72)
Volume: 2.6M
52W: $37.41 - $63.85
Market Cap: 37.62B
Volatility: 22.2%
BB: Inside (4.4%)
MACD: -0.380 | -0.440 (Bullish)
MA: 50d: $40.21 | 200d: $48.21
P/C Vol Ratio: 0.38
Opt Dir: Bearish   Short: 3.8% (3.7d)
P/E: 23.84
EPS: 1.63
1y Target Est: $48.89
Upside %: +25.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 20, 2025
Signal Confidence: HOLD
ATR(14): $0.65 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $38.86
Current
Stop Loss: $37.56
-3.3%
Target: $41.46
+6.7%
Risk/Reward: 3.3% / 6.7% (1:2)
Day
$38.33$38.93
52W
$37.41$63.85
Bollinger Bands
$38.08$38.94$39.81
Width: 4.4% – Inside
Implied Move Β±4.2%
$37.47$40.25

QQQM β†— (Y, F, Z, S) $256.54

β–² +0.83% (+2.11)
5D: β–² +0.59% (+1.50)
1M: β–Ό -0.26% (-0.66)
6M: β–² +44.37% (+78.84)
YTD: β–² +1.43% (+3.62)
1Y: β–² +19.47% (+41.81)
Volume: 3.1M
52W: $165.07 - $261.90
AUM: 70.13B
Volatility: 17.0%
BB: Inside (4.5%)
MACD: +0.602 | +0.603 (Bearish)
MA: 50d: $253.73 | 200d: $229.96
P/C Vol Ratio: 0.65
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 34.31
EPS: 7.48
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.49%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.79 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $256.54
Current
Stop Loss: $250.96
-2.2%
Target: $267.70
+4.4%
Risk/Reward: 2.2% / 4.4% (1:2)
Day
$254.73$256.58
52W
$165.07$261.90
Bollinger Bands
$248.56$254.34$260.12
Width: 4.5% – Inside
Implied Move Β±2.3%
$251.47$261.61

MCK ↑ (Y, F, Z, S) $831.76

β–² +0.83% (+6.84)
5D: β–² +0.54% (+4.43)
1M: β–² +2.86% (+23.14)
6M: β–² +22.25% (+151.39)
YTD: β–² +1.40% (+11.47)
1Y: β–² +43.91% (+253.78)
Volume: 228.7K
52W: $568.11 - $894.75
Market Cap: 103.46B
Volatility: 20.3%
BB: Inside (5.0%)
MACD: +0.213 | -1.108 (Bullish)
MA: 50d: $831.80 | 200d: $739.72
P/C Vol Ratio: 2.97
Opt Dir: Bearish   Short: 1.7% (4.3d)
P/E: 25.98
EPS: 32.01
1y Target Est: $939.33
Upside %: +12.9%
Div: $3.28 (0.4%)
Annual Dividend: $3.28
Ex-Dividend Date: Nov 30, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.09%
Dividend Growth: N/A
Earnings: Feb 04, 2026
Signal Confidence: HOLD
ATR(14): $12.70 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $831.76
Current
Stop Loss: $806.36
-3.1%
Target: $882.56
+6.1%
Risk/Reward: 3.1% / 6.1% (1:2)
Day
$820.02$834.00
52W
$568.11$894.75
Bollinger Bands
$797.56$818.13$838.71
Width: 5.0% – Inside
Implied Move Β±2.2%
$816.36$847.16

QQQ ↑ (Y, F, Z, S) $623.10

β–² +0.83% (+5.11)
5D: β–² +0.59% (+3.67)
1M: β–Ό -0.25% (-1.58)
6M: β–² +44.38% (+191.53)
YTD: β–² +1.43% (+8.79)
1Y: β–² +19.39% (+101.21)
Volume: 54.1M
52W: $400.96 - $636.19
Market Cap: 244.94B
Volatility: 17.0%
BB: Inside (4.5%)
MACD: +1.455 | +1.453 (Bullish)
MA: 50d: $616.27 | 200d: $558.65
P/C Vol Ratio: 1.22
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 34.31
EPS: 18.16
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.46%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $6.83 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $623.10
Current
Stop Loss: $609.45
-2.2%
Target: $650.41
+4.4%
Risk/Reward: 2.2% / 4.4% (1:2)
Day
$618.57$623.23
52W
$400.96$636.19
Bollinger Bands
$603.75$617.75$631.75
Width: 4.5% – Inside
Implied Move Β±0.2%
$622.17$624.03

ABBV ↓ (Y, F, Z, S) $221.92

β–² +0.79% (+1.74)
5D: β–Ό -3.40% (-7.82)
1M: β–Ό -1.84% (-4.16)
6M: β–² +32.49% (+54.42)
YTD: β–Ό -2.88% (-6.57)
1Y: β–² +27.53% (+47.90)
Volume: 3.2M
52W: $160.33 - $243.06
Market Cap: 392.22B
Volatility: 23.5%
BB: Inside (5.7%)
MACD: -0.328 | +0.205 (Bearish)
MA: 50d: $226.36 | 200d: $204.44
P/C Vol Ratio: 0.46
Opt Dir: Bearish   Short: 1.0% (3.4d)
P/E: 168.12
EPS: 1.32
1y Target Est: $244.68
Upside %: +10.3%
Div: $6.92 (3.14%)
Annual Dividend: $6.92
Ex-Dividend Date: Jan 15, 2026
Payout Frequency: Quarterly
Payout Ratio: 4.90%
Dividend Growth: N/A
Earnings: Oct 31, 2025
Signal Confidence: HOLD
ATR(14): $4.17 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $221.92
Current
Stop Loss: $213.57
-3.8%
Target: $238.61
+7.5%
Risk/Reward: 3.8% / 7.5% (1:2)
Day
$219.72$224.15
52W
$160.33$243.06
Bollinger Bands
$219.58$226.04$232.49
Width: 5.7% – Inside
Implied Move Β±2.0%
$218.17$225.67

IGV ↓ (Y, F, Z, S) $104.44

β–² +0.79% (+0.82)
5D: β–Ό -2.38% (-2.54)
1M: β–Ό -4.58% (-5.01)
6M: β–² +24.47% (+20.53)
YTD: β–Ό -1.18% (-1.25)
1Y: β–² +2.72% (+2.76)
Volume: 2.2M
52W: $76.68 - $117.99
Market Cap: 1.31B
Volatility: 20.9%
BB: Inside (8.1%)
MACD: -0.842 | -0.486 (Bearish)
MA: 50d: $108.05 | 200d: $106.06
P/C Vol Ratio: 1.31
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 37.67
EPS: 2.77
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.68 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $104.44
Current
Stop Loss: $101.09
-3.2%
Target: $111.16
+6.4%
Risk/Reward: 3.2% / 6.4% (1:2)
Day
$103.45$104.52
52W
$76.68$117.99
Bollinger Bands
$102.76$107.08$111.40
Width: 8.1% – Inside
Implied Move Β±3.0%
$101.80$107.09

ASML ↑ (Y, F, Z, S) $1237.81

β–² +0.78% (+9.62)
5D: β–² +15.45% (+165.67)
1M: β–² +12.58% (+138.34)
6M: β–² +99.62% (+617.72)
YTD: β–² +15.70% (+167.95)
1Y: β–² +62.61% (+476.57)
Volume: 904.9K
52W: $574.25 - $1246.38
Market Cap: 480.45B
Volatility: 38.9%
BB: Above Upper (21.0%)
MACD: +31.117 | +14.781 (Bullish)
MA: 50d: $1064.57 | 200d: $848.37
P/C Vol Ratio: 0.50
Opt Dir: Bullish   Short: 0.3% (1.0d)
P/E: 43.63
EPS: 28.37
1y Target Est: $1167.89
Upside %: -5.6%
Div: $7.37 (0.6%)
Annual Dividend: $7.37
Ex-Dividend Date: Oct 28, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.27%
Dividend Growth: N/A
Earnings: Jan 28, 2026
Signal Confidence: HOLD
ATR(14): $31.77 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $1237.81
Current
Stop Loss: $1174.28
-5.1%
Target: $1364.87
+10.3%
Risk/Reward: 5.1% / 10.3% (1:2)
Day
$1222.42$1246.38
52W
$574.25$1246.38
Bollinger Bands
$980.96$1096.03$1211.11
Width: 21.0% – Above Upper
Implied Move Β±3.2%
$1204.58$1271.05

FOUR β†˜ (Y, F, Z, S) $64.45

β–² +0.77% (+0.49)
5D: β–² +0.03% (+0.02)
1M: β–Ό -6.43% (-4.43)
6M: β–Ό -13.99% (-10.48)
YTD: β–² +2.35% (+1.48)
1Y: β–Ό -39.53% (-42.14)
Volume: 542.6K
52W: $61.23 - $127.50
Market Cap: 5.71B
Volatility: 38.3%
BB: Inside (11.0%)
MACD: -1.505 | -1.542 (Bullish)
MA: 50d: $68.11 | 200d: $83.35
P/C Vol Ratio: 0.42
Opt Dir: Bearish   Short: 20.0% (8.1d)
P/E: 30.12
EPS: 2.14
1y Target Est: $93.04
Upside %: +44.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: HOLD
ATR(14): $1.96 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $64.45
Current
Stop Loss: $60.54
-6.1%
Target: $72.28
+12.1%
Risk/Reward: 6.1% / 12.1% (1:2)
Day
$63.62$64.83
52W
$61.23$127.50
Bollinger Bands
$61.85$65.46$69.07
Width: 11.0% – Inside
Implied Move Β±5.7%
$61.35$67.55

FCNTX β†— (Y, F, Z, S) $24.55

β–² +0.74% (+0.18)
5D: β–² +0.37% (+0.09)
1M: β–² +7.58% (+1.73)
6M: β–² +41.78% (+7.23)
YTD: β–² +1.03% (+0.25)
1Y: β–² +25.72% (+5.02)
Volume: 0
52W: $16.54 - $24.56
AUM: 175.18B
Volatility: 18.3%
BB: Inside (4.1%)
MACD: +0.381 | +0.406 (Bearish)
MA: 50d: $23.25 | 200d: $21.34
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: $0.02 (0.05%)
Annual Dividend: $0.02
Ex-Dividend Date: N/A
Payout Frequency: Quarterly
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.12 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $24.55
Current
Stop Loss: $24.30
-1.0%
Target: $25.04
+2.0%
Risk/Reward: 1.0% / 2.0% (1:2)
Day
$24.30$24.55
52W
$16.54$24.56
Bollinger Bands
$23.75$24.24$24.74
Width: 4.1% – Inside

INTC ↑ (Y, F, Z, S) $39.65

β–² +0.72% (+0.28)
5D: β–² +6.31% (+2.35)
1M: β–Ό -4.24% (-1.76)
6M: β–² +110.48% (+20.81)
YTD: β–² +7.47% (+2.75)
1Y: β–² +99.57% (+19.78)
Volume: 54.6M
52W: $17.67 - $44.02
Market Cap: 189.15B
Volatility: 51.8%
BB: Inside (17.5%)
MACD: +0.136 | -0.123 (Bullish)
MA: 50d: $38.09 | 200d: $27.68
P/C Vol Ratio: 0.31
Opt Dir: Bearish   Short: 2.7% (1.9d)
P/E: 660.92
EPS: 0.06
1y Target Est: $38.31
Upside %: -3.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Aug 06, 2024
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 23, 2025
Signal Confidence: HOLD
ATR(14): $1.46 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $39.65
Current
Stop Loss: $36.73
-7.4%
Target: $45.50
+14.7%
Risk/Reward: 7.4% / 14.7% (1:2)
Day
$38.95$39.88
52W
$17.67$44.02
Bollinger Bands
$34.55$37.86$41.17
Width: 17.5% – Inside
Implied Move Β±4.1%
$38.29$41.02

JEPQ ↑ (Y, F, Z, S) $58.86

β–² +0.72% (+0.42)
5D: β–² +0.59% (+0.34)
1M: β–² +1.05% (+0.61)
6M: β–² +34.22% (+15.01)
YTD: β–² +1.27% (+0.74)
1Y: β–² +14.15% (+7.30)
Volume: 3.0M
52W: $40.75 - $58.87
AUM: 31.92B
Volatility: 13.3%
BB: Inside (4.0%)
MACD: +0.344 | +0.340 (Bullish)
MA: 50d: $57.50 | 200d: $52.69
P/C Vol Ratio: 0.31
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 34.10
EPS: 1.73
1y Target Est: N/A
Upside %: N/A
Div: N/A (10.13%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.54 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $58.86
Current
Stop Loss: $57.78
-1.8%
Target: $61.02
+3.7%
Risk/Reward: 1.8% / 3.7% (1:2)
Day
$58.51$58.87
52W
$40.75$58.87
Bollinger Bands
$57.00$58.15$59.30
Width: 4.0% – Inside
Implied Move Β±1.5%
$58.10$59.62

ROP ↓ (Y, F, Z, S) $434.70

β–² +0.70% (+3.04)
5D: β–Ό -3.22% (-14.46)
1M: β–Ό -2.67% (-11.95)
6M: β–Ό -18.97% (-101.79)
YTD: β–Ό -2.14% (-9.52)
1Y: β–Ό -13.71% (-69.07)
Volume: 280.7K
52W: $427.89 - $591.26
Market Cap: 46.79B
Volatility: 20.5%
BB: Inside (5.1%)
MACD: -3.190 | -2.126 (Bearish)
MA: 50d: $445.96 | 200d: $518.94
P/C Vol Ratio: 0.21
Opt Dir: Bullish   Short: 1.7% (2.1d)
P/E: 29.98
EPS: 14.50
1y Target Est: $560.69
Upside %: +29.0%
Div: $3.64 (0.84%)
Annual Dividend: $3.64
Ex-Dividend Date: Jan 01, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.22%
Dividend Growth: N/A
Earnings: Jan 27, 2026
Signal Confidence: HOLD
ATR(14): $6.99 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $434.70
Current
Stop Loss: $420.72
-3.2%
Target: $462.66
+6.4%
Risk/Reward: 3.2% / 6.4% (1:2)
Day
$430.01$436.05
52W
$427.89$591.26
Bollinger Bands
$433.03$444.42$455.82
Width: 5.1% – Inside
Implied Move Β±6.5%
$410.56$458.84

V ↑ (Y, F, Z, S) $356.29

β–² +0.70% (+2.49)
5D: β–² +0.76% (+2.67)
1M: β–² +7.56% (+25.05)
6M: β–² +11.91% (+37.91)
YTD: β–² +1.59% (+5.58)
1Y: β–² +14.62% (+45.46)
Volume: 3.1M
52W: $297.39 - $374.11
Market Cap: 687.60B
Volatility: 20.1%
BB: Inside (11.0%)
MACD: +4.813 | +4.510 (Bullish)
MA: 50d: $339.35 | 200d: $344.21
P/C Vol Ratio: 0.51
Opt Dir: Bearish   Short: 1.5% (4.5d)
P/E: 34.96
EPS: 10.19
1y Target Est: $395.85
Upside %: +11.1%
Div: $2.68 (0.76%)
Annual Dividend: $2.68
Ex-Dividend Date: Nov 11, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.23%
Dividend Growth: N/A
Earnings: Oct 28, 2025
Signal Confidence: HOLD
ATR(14): $4.67 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $356.29
Current
Stop Loss: $346.95
-2.6%
Target: $374.97
+5.2%
Risk/Reward: 2.6% / 5.2% (1:2)
Day
$352.35$357.38
52W
$297.39$374.11
Bollinger Bands
$327.62$346.77$365.92
Width: 11.0% – Inside
Implied Move Β±1.3%
$352.29$360.29

GS ↑ (Y, F, Z, S) $955.09

β–² +0.70% (+6.65)
5D: β–² +7.99% (+70.67)
1M: β–² +11.76% (+100.53)
6M: β–² +93.43% (+461.32)
YTD: β–² +8.66% (+76.09)
1Y: β–² +67.05% (+383.37)
Volume: 1.1M
52W: $432.73 - $961.69
Market Cap: 289.13B
Volatility: 27.0%
BB: Above Upper (10.4%)
MACD: +26.524 | +23.951 (Bullish)
MA: 50d: $836.46 | 200d: $706.22
P/C Vol Ratio: 1.32
Opt Dir: Bearish   Short: 2.4% (3.5d)
P/E: 19.40
EPS: 49.22
1y Target Est: $839.89
Upside %: -12.1%
Div: $16.00 (1.69%)
Annual Dividend: $16.00
Ex-Dividend Date: Dec 01, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.26%
Dividend Growth: N/A
Earnings: Jan 15, 2026
Signal Confidence: HOLD
ATR(14): $19.73 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $955.09
Current
Stop Loss: $915.62
-4.1%
Target: $1034.03
+8.3%
Risk/Reward: 4.1% / 8.3% (1:2)
Day
$943.30$957.68
52W
$432.73$961.69
Bollinger Bands
$850.29$896.72$943.15
Width: 10.4% – Above Upper
Implied Move Β±2.3%
$936.60$973.58

NAIL ↓ (Y, F, Z, S) $53.03

β–² +0.67% (+0.36)
5D: β–² +3.65% (+1.87)
1M: β–Ό -12.78% (-7.77)
6M: β–² +16.42% (+7.48)
YTD: β–² +6.86% (+3.41)
1Y: β–Ό -35.51% (-29.20)
Volume: 930.6K
52W: $39.62 - $103.95
AUM: 666.36M
Volatility: 72.1%
BB: Inside (25.2%)
MACD: -1.849 | -1.748 (Bearish)
MA: 50d: $56.33 | 200d: $61.12
P/C Vol Ratio: 2.56
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 12.11
EPS: 4.38
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.22%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.68 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $53.03
Current
Stop Loss: $47.67
-10.1%
Target: $63.74
+20.2%
Risk/Reward: 10.1% / 20.2% (1:2)
Day
$49.80$53.24
52W
$39.62$103.95
Bollinger Bands
$47.69$54.56$61.43
Width: 25.2% – Inside
Implied Move Β±8.5%
$49.20$56.85

RTX ↑ (Y, F, Z, S) $189.52

β–² +0.67% (+1.26)
5D: β–² +3.00% (+5.51)
1M: β–² +10.77% (+18.42)
6M: β–² +52.30% (+65.09)
YTD: β–² +3.34% (+6.12)
1Y: β–² +69.20% (+77.51)
Volume: 1.8M
52W: $110.77 - $190.50
Market Cap: 254.11B
Volatility: 24.4%
BB: Inside (11.6%)
MACD: +3.712 | +3.207 (Bullish)
MA: 50d: $177.21 | 200d: $153.11
P/C Vol Ratio: 5.52
Opt Dir: Bearish   Short: 0.7% (2.5d)
P/E: 38.84
EPS: 4.88
1y Target Est: $196.85
Upside %: +3.9%
Div: $2.72 (1.44%)
Annual Dividend: $2.72
Ex-Dividend Date: Nov 20, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.54%
Dividend Growth: N/A
Earnings: Jan 27, 2026
Signal Confidence: HOLD
ATR(14): $2.96 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $189.52
Current
Stop Loss: $183.61
-3.1%
Target: $201.36
+6.2%
Risk/Reward: 3.1% / 6.2% (1:2)
Day
$187.71$189.88
52W
$110.77$190.50
Bollinger Bands
$171.14$181.68$192.22
Width: 11.6% – Inside
Implied Move Β±2.0%
$186.23$192.82

MSFT ↓ (Y, F, Z, S) $476.02

β–² +0.67% (+3.17)
5D: β–Ό -2.35% (-11.46)
1M: β–Ό -1.48% (-7.14)
6M: β–² +33.26% (+118.81)
YTD: β–Ό -1.57% (-7.60)
1Y: β–² +12.08% (+51.30)
Volume: 7.4M
52W: $342.95 - $553.50
Market Cap: 3.54T
Volatility: 18.9%
BB: Inside (5.0%)
MACD: -3.465 | -3.168 (Bearish)
MA: 50d: $493.40 | 200d: $477.62
P/C Vol Ratio: 0.39
Opt Dir: Bearish   Short: 0.9% (3.2d)
P/E: 33.90
EPS: 14.04
1y Target Est: $622.51
Upside %: +30.8%
Div: $3.64 (0.77%)
Annual Dividend: $3.64
Ex-Dividend Date: Feb 18, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.24%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $6.23 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $476.02
Current
Stop Loss: $463.56
-2.6%
Target: $500.94
+5.2%
Risk/Reward: 2.6% / 5.2% (1:2)
Day
$469.75$476.24
52W
$342.95$553.50
Bollinger Bands
$470.26$482.42$494.58
Width: 5.0% – Inside
Implied Move Β±1.7%
$469.33$482.70

SCHW ↑ (Y, F, Z, S) $104.43

β–² +0.67% (+0.69)
5D: β–² +3.86% (+3.88)
1M: β–² +11.31% (+10.61)
6M: β–² +40.57% (+30.14)
YTD: β–² +4.52% (+4.52)
1Y: β–² +41.93% (+30.85)
Volume: 3.1M
52W: $65.30 - $104.75
Market Cap: 189.56B
Volatility: 17.4%
BB: Inside (12.8%)
MACD: +2.314 | +1.918 (Bullish)
MA: 50d: $95.66 | 200d: $90.64
P/C Vol Ratio: 4.85
Opt Dir: Bearish   Short: 1.1% (2.4d)
P/E: 24.46
EPS: 4.27
1y Target Est: $113.11
Upside %: +8.3%
Div: $1.08 (1.04%)
Annual Dividend: $1.08
Ex-Dividend Date: Nov 13, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.25%
Dividend Growth: N/A
Earnings: Jan 21, 2026
Signal Confidence: HOLD
ATR(14): $1.57 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $104.43
Current
Stop Loss: $101.30
-3.0%
Target: $110.69
+6.0%
Risk/Reward: 3.0% / 6.0% (1:2)
Day
$104.16$104.76
52W
$65.30$104.75
Bollinger Bands
$92.64$98.99$105.33
Width: 12.8% – Inside
Implied Move Β±1.7%
$102.90$105.96

BA ↑ (Y, F, Z, S) $229.65

β–² +0.66% (+1.51)
5D: β–² +5.10% (+11.15)
1M: β–² +13.75% (+27.76)
6M: β–² +44.12% (+70.31)
YTD: β–² +5.77% (+12.53)
1Y: β–² +34.47% (+58.87)
Volume: 3.9M
52W: $128.88 - $242.69
Market Cap: 179.83B
Volatility: 34.8%
BB: Inside (17.5%)
MACD: +7.052 | +5.358 (Bullish)
MA: 50d: $203.36 | 200d: $206.16
P/C Vol Ratio: 0.57
Opt Dir: Bearish   Short: 2.1% (2.4d)
P/E: 101.27
EPS: -13.71
1y Target Est: $247.44
Upside %: +7.7%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Feb 12, 2020
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $4.45 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $229.65
Current
Stop Loss: $220.75
-3.9%
Target: $247.44
+7.7%
Risk/Reward: 3.9% / 7.7% (1:2)
Day
$229.09$231.64
52W
$128.88$242.69
Bollinger Bands
$194.24$212.90$231.57
Width: 17.5% – Inside
Implied Move Β±2.1%
$225.62$233.67

AMP ↑ (Y, F, Z, S) $511.25

β–² +0.66% (+3.36)
5D: β–² +3.39% (+16.78)
1M: β–² +7.17% (+34.19)
6M: β–² +14.46% (+64.58)
YTD: β–² +4.26% (+20.91)
1Y: β–Ό -2.45% (-12.85)
Volume: 203.0K
52W: $392.21 - $574.69
Market Cap: 48.20B
Volatility: 23.0%
BB: Above Upper (6.9%)
MACD: +8.632 | +8.020 (Bullish)
MA: 50d: $473.08 | 200d: $491.64
P/C Vol Ratio: 1.29
Opt Dir: Bearish   Short: 3.8% (5.7d)
P/E: 14.06
EPS: 36.36
1y Target Est: $543.30
Upside %: +6.3%
Div: $6.40 (1.26%)
Annual Dividend: $6.40
Ex-Dividend Date: Nov 09, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.17%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $7.73 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $511.25
Current
Stop Loss: $495.78
-3.0%
Target: $542.19
+6.1%
Risk/Reward: 3.0% / 6.1% (1:2)
Day
$503.30$511.65
52W
$392.21$574.69
Bollinger Bands
$476.82$493.97$511.13
Width: 6.9% – Above Upper
Implied Move Β±2.5%
$500.24$522.26

XLY β†’ (Y, F, Z, S) $121.08

β–² +0.65% (+0.78)
5D: β–² +0.60% (+0.72)
1M: β–² +1.33% (+1.59)
6M: β–² +34.99% (+31.39)
YTD: β–² +1.40% (+1.67)
1Y: β–² +7.71% (+8.67)
Volume: 11.6M
52W: $86.04 - $123.39
Market Cap: 14.56B
Volatility: 18.4%
BB: Inside (4.9%)
MACD: +0.576 | +0.845 (Bearish)
MA: 50d: $118.62 | 200d: $111.18
P/C Vol Ratio: 3.47
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 30.37
EPS: 3.99
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.78%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.47 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $121.08
Current
Stop Loss: $118.15
-2.4%
Target: $126.96
+4.9%
Risk/Reward: 2.4% / 4.9% (1:2)
Day
$119.47$121.14
52W
$86.04$123.39
Bollinger Bands
$117.64$120.60$123.57
Width: 4.9% – Inside
Implied Move Β±3.5%
$117.53$124.64

ONEQ β†— (Y, F, Z, S) $92.56

β–² +0.65% (+0.60)
5D: β–² +0.50% (+0.46)
1M: β–Ό -0.10% (-0.09)
6M: β–² +48.84% (+30.37)
YTD: β–² +1.27% (+1.16)
1Y: β–² +18.86% (+14.69)
Volume: 133.2K
52W: $57.85 - $94.34
Market Cap: 610.88M
Volatility: 17.0%
BB: Inside (4.2%)
MACD: +0.276 | +0.291 (Bearish)
MA: 50d: $91.48 | 200d: $82.07
P/C Vol Ratio: 0.14
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 33.10
EPS: 2.80
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.56%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.98 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $92.56
Current
Stop Loss: $90.60
-2.1%
Target: $96.47
+4.2%
Risk/Reward: 2.1% / 4.2% (1:2)
Day
$92.00$92.57
52W
$57.85$94.34
Bollinger Bands
$89.91$91.86$93.81
Width: 4.2% – Inside
Implied Move Β±0.7%
$92.00$93.12

FXAIX β†— (Y, F, Z, S) $239.74

β–² +0.63% (+1.51)
5D: β–² +0.12% (+0.28)
1M: β–² +0.77% (+1.83)
6M: β–² +31.83% (+57.88)
YTD: β–² +0.85% (+2.02)
1Y: β–² +16.96% (+34.76)
Volume: 0
52W: $171.47 - $240.68
AUM: 738.56B
Volatility: 13.1%
BB: Inside (3.2%)
MACD: +1.064 | +1.089 (Bearish)
MA: 50d: $236.18 | 200d: $217.74
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: $1.92 (1.11%)
Annual Dividend: $1.92
Ex-Dividend Date: N/A
Payout Frequency: Quarterly
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.14 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $239.74
Current
Stop Loss: $237.46
-1.0%
Target: $244.30
+1.9%
Risk/Reward: 1.0% / 1.9% (1:2)
Day
$237.72$239.74
52W
$171.47$240.68
Bollinger Bands
$234.34$238.11$241.89
Width: 3.2% – Inside

AEP β†˜ (Y, F, Z, S) $114.76

β–² +0.61% (+0.69)
5D: β–Ό -1.06% (-1.23)
1M: β–Ό -2.36% (-2.78)
6M: β–² +11.49% (+11.83)
YTD: β–Ό -0.48% (-0.55)
1Y: β–² +31.49% (+27.48)
Volume: 741.3K
52W: $86.88 - $124.80
Market Cap: 61.43B
Volatility: 18.9%
BB: Inside (2.4%)
MACD: -0.829 | -0.914 (Bullish)
MA: 50d: $118.19 | 200d: $109.21
P/C Vol Ratio: 3.15
Opt Dir: Strong Bearish   Short: 4.2% (6.6d)
P/E: 16.80
EPS: 6.83
1y Target Est: $128.97
Upside %: +12.4%
Div: $3.80 (3.33%)
Annual Dividend: $3.80
Ex-Dividend Date: Nov 09, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.54%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $1.37 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $114.76
Current
Stop Loss: $112.03
-2.4%
Target: $120.23
+4.8%
Risk/Reward: 2.4% / 4.8% (1:2)
Day
$113.88$115.07
52W
$86.88$124.80
Bollinger Bands
$113.73$115.10$116.47
Width: 2.4% – Inside
Implied Move Β±2.5%
$112.29$117.23

VTI ↑ (Y, F, Z, S) $340.88

β–² +0.60% (+2.04)
5D: β–² +0.90% (+3.03)
1M: β–² +1.27% (+4.27)
6M: β–² +36.12% (+90.45)
YTD: β–² +1.67% (+5.61)
1Y: β–² +17.08% (+49.73)
Volume: 4.5M
52W: $234.39 - $340.90
Market Cap: 706.89B
Volatility: 12.2%
BB: Inside (3.3%)
MACD: +1.707 | +1.595 (Bullish)
MA: 50d: $333.56 | 200d: $307.91
P/C Vol Ratio: 0.88
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 28.29
EPS: 12.05
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.11%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.66 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $340.88
Current
Stop Loss: $335.57
-1.6%
Target: $351.50
+3.1%
Risk/Reward: 1.6% / 3.1% (1:2)
Day
$338.81$340.90
52W
$234.39$340.90
Bollinger Bands
$330.95$336.56$342.17
Width: 3.3% – Inside
Implied Move Β±1.7%
$335.99$345.77

ORCL β†’ (Y, F, Z, S) $193.69

β–² +0.57% (+1.10)
5D: β–Ό -1.78% (-3.52)
1M: β–Ό -10.98% (-23.89)
6M: β–² +58.31% (+71.34)
YTD: β–Ό -0.63% (-1.22)
1Y: β–² +18.06% (+29.63)
Volume: 9.2M
52W: $117.98 - $345.12
Market Cap: 556.50B
Volatility: 51.2%
BB: Inside (24.7%)
MACD: -6.349 | -8.141 (Bullish)
MA: 50d: $217.64 | 200d: $215.41
P/C Vol Ratio: 0.26
Opt Dir: Bearish   Short: 1.7% (1.3d)
P/E: 36.41
EPS: 5.32
1y Target Est: $292.53
Upside %: +51.0%
Div: $2.00 (1.04%)
Annual Dividend: $2.00
Ex-Dividend Date: Jan 08, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.36%
Dividend Growth: N/A
Earnings: Dec 10, 2025
Signal Confidence: HOLD
ATR(14): $6.25 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $193.69
Current
Stop Loss: $181.18
-6.5%
Target: $218.71
+12.9%
Risk/Reward: 6.5% / 12.9% (1:2)
Day
$190.70$193.75
52W
$117.98$345.12
Bollinger Bands
$172.54$196.83$221.12
Width: 24.7% – Inside
Implied Move Β±3.8%
$187.43$199.95

VOO ↑ (Y, F, Z, S) $636.03

β–² +0.56% (+3.57)
5D: β–² +0.68% (+4.31)
1M: β–² +1.17% (+7.33)
6M: β–² +35.83% (+167.78)
YTD: β–² +1.42% (+8.90)
1Y: β–² +17.58% (+95.11)
Volume: 5.8M
52W: $438.94 - $636.11
AUM: 1.48T
Volatility: 11.7%
BB: Inside (3.4%)
MACD: +3.119 | +2.909 (Bullish)
MA: 50d: $623.45 | 200d: $574.99
P/C Vol Ratio: 0.31
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 29.25
EPS: 21.75
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.12%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $4.92 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $636.03
Current
Stop Loss: $626.20
-1.5%
Target: $655.70
+3.1%
Risk/Reward: 1.5% / 3.1% (1:2)
Day
$632.53$636.11
52W
$438.94$636.11
Bollinger Bands
$617.88$628.46$639.03
Width: 3.4% – Inside
Implied Move Β±1.0%
$630.76$641.30

QQQI β†— (Y, F, Z, S) $54.38

β–² +0.56% (+0.31)
5D: β–² +0.23% (+0.12)
1M: β–² +0.17% (+0.09)
6M: β–² +36.77% (+14.62)
YTD: β–² +0.96% (+0.51)
1Y: β–² +17.56% (+8.12)
Volume: 2.7M
52W: $36.97 - $55.09
AUM: 6.68B
Volatility: 14.6%
BB: Inside (3.9%)
MACD: +0.205 | +0.219 (Bearish)
MA: 50d: $53.62 | 200d: $49.34
P/C Vol Ratio: 0.89
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 33.96
EPS: 1.60
1y Target Est: N/A
Upside %: N/A
Div: N/A (13.64%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.51 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $54.38
Current
Stop Loss: $53.36
-1.9%
Target: $56.41
+3.7%
Risk/Reward: 1.9% / 3.7% (1:2)
Day
$54.12$54.38
52W
$36.97$55.09
Bollinger Bands
$52.95$53.99$55.03
Width: 3.9% – Inside
Implied Move Β±1.8%
$53.55$55.20

SPY ↑ (Y, F, Z, S) $691.55

β–² +0.56% (+3.83)
5D: β–² +0.66% (+4.54)
1M: β–² +1.15% (+7.88)
6M: β–² +35.75% (+182.11)
YTD: β–² +1.41% (+9.63)
1Y: β–² +17.52% (+103.10)
Volume: 42.4M
52W: $477.64 - $691.68
Market Cap: 634.69B
Volatility: 11.7%
BB: Inside (3.4%)
MACD: +3.372 | +3.152 (Bullish)
MA: 50d: $677.97 | 200d: $625.46
P/C Vol Ratio: 1.13
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 27.89
EPS: 24.79
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.06%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $5.35 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $691.55
Current
Stop Loss: $680.85
-1.5%
Target: $712.95
+3.1%
Risk/Reward: 1.5% / 3.1% (1:2)
Day
$687.78$691.68
52W
$477.64$691.68
Bollinger Bands
$671.90$683.39$694.89
Width: 3.4% – Inside
Implied Move Β±0.2%
$690.55$692.55

IVV ↑ (Y, F, Z, S) $694.61

β–² +0.55% (+3.82)
5D: β–² +0.68% (+4.69)
1M: β–² +1.16% (+7.93)
6M: β–² +35.82% (+183.19)
YTD: β–² +1.41% (+9.67)
1Y: β–² +17.59% (+103.90)
Volume: 3.1M
52W: $479.35 - $694.74
Market Cap: 431.73B
Volatility: 11.7%
BB: Inside (3.4%)
MACD: +3.395 | +3.169 (Bullish)
MA: 50d: $680.94 | 200d: $627.98
P/C Vol Ratio: 0.43
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 27.87
EPS: 24.92
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.13%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $5.35 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $694.61
Current
Stop Loss: $683.91
-1.5%
Target: $716.01
+3.1%
Risk/Reward: 1.5% / 3.1% (1:2)
Day
$690.83$694.74
52W
$479.35$694.74
Bollinger Bands
$674.89$686.40$697.90
Width: 3.4% – Inside
Implied Move Β±0.3%
$692.65$696.56

JNJ β†˜ (Y, F, Z, S) $205.43

β–² +0.55% (+1.12)
5D: β–Ό -0.72% (-1.48)
1M: β–² +1.73% (+3.50)
6M: β–² +33.85% (+51.95)
YTD: β–Ό -0.73% (-1.52)
1Y: β–² +47.37% (+66.04)
Volume: 3.7M
52W: $136.50 - $215.19
Market Cap: 494.94B
Volatility: 15.8%
BB: Inside (6.1%)
MACD: +1.322 | +2.197 (Bearish)
MA: 50d: $200.16 | 200d: $172.72
P/C Vol Ratio: 0.13
Opt Dir: Bullish   Short: 1.0% (3.3d)
P/E: 19.83
EPS: 10.36
1y Target Est: $210.75
Upside %: +2.6%
Div: $5.20 (2.55%)
Annual Dividend: $5.20
Ex-Dividend Date: Feb 23, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.49%
Dividend Growth: N/A
Earnings: Jan 21, 2026
Signal Confidence: HOLD
ATR(14): $3.05 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $205.43
Current
Stop Loss: $199.32
-3.0%
Target: $217.64
+5.9%
Risk/Reward: 3.0% / 5.9% (1:2)
Day
$204.47$206.71
52W
$136.50$215.19
Bollinger Bands
$200.94$207.26$213.59
Width: 6.1% – Inside
Implied Move Β±1.6%
$202.60$208.26

SCHD ↑ (Y, F, Z, S) $28.06

β–² +0.52% (+0.15)
5D: β–² +1.54% (+0.43)
1M: β–² +2.28% (+0.63)
6M: β–² +15.44% (+3.75)
YTD: β–² +2.28% (+0.62)
1Y: β–² +6.91% (+1.81)
Volume: 12.7M
52W: $23.18 - $28.13
AUM: 71.15B
Volatility: 10.8%
BB: Above Upper (2.8%)
MACD: +0.186 | +0.173 (Bullish)
MA: 50d: $27.11 | 200d: $26.43
P/C Vol Ratio: 0.51
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 16.69
EPS: 1.68
1y Target Est: N/A
Upside %: N/A
Div: N/A (3.74%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.22 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $28.06
Current
Stop Loss: $27.62
-1.6%
Target: $28.93
+3.1%
Risk/Reward: 1.6% / 3.1% (1:2)
Day
$27.95$28.13
52W
$23.18$28.13
Bollinger Bands
$27.21$27.60$27.99
Width: 2.8% – Above Upper
Implied Move Β±0.7%
$27.89$28.23

BAC ↑ (Y, F, Z, S) $57.19

β–² +0.52% (+0.30)
5D: β–² +3.45% (+1.91)
1M: β–² +6.00% (+3.24)
6M: β–² +57.48% (+20.87)
YTD: β–² +3.97% (+2.19)
1Y: β–² +28.88% (+12.81)
Volume: 15.6M
52W: $32.53 - $57.55
Market Cap: 423.60B
Volatility: 20.4%
BB: Inside (7.1%)
MACD: +0.867 | +0.791 (Bullish)
MA: 50d: $53.70 | 200d: $47.48
P/C Vol Ratio: 0.32
Opt Dir: Bullish   Short: 1.6% (4.2d)
P/E: 15.63
EPS: 3.66
1y Target Est: $61.06
Upside %: +6.8%
Div: $1.12 (1.97%)
Annual Dividend: $1.12
Ex-Dividend Date: Dec 04, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.29%
Dividend Growth: N/A
Earnings: Jan 14, 2026
Signal Confidence: HOLD
ATR(14): $0.84 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $57.19
Current
Stop Loss: $55.51
-2.9%
Target: $60.54
+5.9%
Risk/Reward: 2.9% / 5.9% (1:2)
Day
$56.78$57.28
52W
$32.53$57.55
Bollinger Bands
$53.32$55.27$57.22
Width: 7.1% – Inside
Implied Move Β±1.7%
$56.34$58.03

XLF ↑ (Y, F, Z, S) $56.40

β–² +0.47% (+0.26)
5D: β–² +2.20% (+1.22)
1M: β–² +5.42% (+2.90)
6M: β–² +24.80% (+11.21)
YTD: β–² +2.97% (+1.62)
1Y: β–² +18.04% (+8.62)
Volume: 27.4M
52W: $41.78 - $56.51
Market Cap: 49.82B
Volatility: 14.1%
BB: Inside (6.2%)
MACD: +0.708 | +0.655 (Bullish)
MA: 50d: $53.40 | 200d: $51.60
P/C Vol Ratio: 0.82
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 19.28
EPS: 2.93
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.38%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.58 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $56.40
Current
Stop Loss: $55.23
-2.1%
Target: $58.72
+4.1%
Risk/Reward: 2.1% / 4.1% (1:2)
Day
$56.01$56.41
52W
$41.78$56.51
Bollinger Bands
$53.15$54.85$56.55
Width: 6.2% – Inside
Implied Move Β±1.2%
$55.84$56.95

FBL β†— (Y, F, Z, S) $32.50

β–² +0.43% (+0.14)
5D: β–Ό -1.96% (-0.65)
1M: β–Ό -4.67% (-1.59)
6M: β–² +61.15% (+12.33)
YTD: β–Ό -0.03% (-0.01)
1Y: β–Ό -12.91% (-4.82)
Volume: 1.1M
52W: $19.75 - $50.70
AUM: 482.48M
Volatility: 66.3%
BB: Inside (8.1%)
MACD: +0.083 | +0.069 (Bullish)
MA: 50d: $32.03 | 200d: $36.98
P/C Vol Ratio: 0.92
Opt Dir: Bearish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.23 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $32.50
Current
Stop Loss: $30.04
-7.6%
Target: $37.43
+15.2%
Risk/Reward: 7.6% / 15.2% (1:2)
Day
$31.73$32.62
52W
$19.75$50.70
Bollinger Bands
$31.11$32.42$33.74
Width: 8.1% – Inside
Implied Move Β±5.7%
$30.92$34.08

PWR β†’ (Y, F, Z, S) $437.64

β–² +0.42% (+1.82)
5D: β–² +2.09% (+8.94)
1M: β–Ό -4.97% (-22.88)
6M: β–² +72.59% (+184.06)
YTD: β–² +3.72% (+15.69)
1Y: β–² +33.56% (+109.96)
Volume: 448.7K
52W: $226.91 - $473.87
Market Cap: 65.26B
Volatility: 35.2%
BB: Inside (13.1%)
MACD: -2.930 | -3.246 (Bullish)
MA: 50d: $442.74 | 200d: $380.11
P/C Vol Ratio: 1.98
Opt Dir: Strong Bearish   Short: 3.5% (6.5d)
P/E: 64.74
EPS: 6.76
1y Target Est: $476.63
Upside %: +8.9%
Div: $0.44 (0.1%)
Annual Dividend: $0.44
Ex-Dividend Date: Jan 01, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.06%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $11.59 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $437.64
Current
Stop Loss: $414.47
-5.3%
Target: $483.99
+10.6%
Risk/Reward: 5.3% / 10.6% (1:2)
Day
$418.24$439.08
52W
$226.91$473.87
Bollinger Bands
$408.98$437.62$466.27
Width: 13.1% – Inside
Implied Move Β±4.7%
$420.10$455.18

BRKU ↓ (Y, F, Z, S) $24.50

β–² +0.39% (+0.10)
5D: β–Ό -1.90% (-0.47)
1M: β–Ό -3.01% (-0.76)
6M: β–Ό -11.48% (-3.18)
YTD: β–Ό -1.46% (-0.36)
1Y: β–² +6.08% (+1.40)
Volume: 52.9K
52W: $21.43 - $31.80
AUM: 58.22M
Volatility: 26.9%
BB: Inside (6.1%)
MACD: -0.104 | -0.072 (Bearish)
MA: 50d: $24.70 | 200d: $25.63
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 15.22
EPS: 1.61
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.54 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $24.50
Current
Stop Loss: $23.41
-4.4%
Target: $26.67
+8.9%
Risk/Reward: 4.4% / 8.9% (1:2)
Day
$24.19$24.52
52W
$21.43$31.80
Bollinger Bands
$23.86$24.61$25.35
Width: 6.1% – Inside

AFRM ↑ (Y, F, Z, S) $81.11

β–² +0.38% (+0.31)
5D: β–² +6.93% (+5.26)
1M: β–² +19.30% (+13.12)
6M: β–² +99.53% (+40.46)
YTD: β–² +8.97% (+6.68)
1Y: β–² +24.61% (+16.02)
Volume: 1.9M
52W: $30.90 - $100.00
Market Cap: 26.77B
Volatility: 63.6%
BB: Inside (23.7%)
MACD: +2.154 | +1.508 (Bullish)
MA: 50d: $71.78 | 200d: $66.34
P/C Vol Ratio: 0.56
Opt Dir: Bearish   Short: 6.3% (4.8d)
P/E: 117.55
EPS: 0.69
1y Target Est: $92.75
Upside %: +14.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: HOLD
ATR(14): $3.62 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $81.11
Current
Stop Loss: $73.86
-8.9%
Target: $95.60
+17.9%
Risk/Reward: 8.9% / 17.9% (1:2)
Day
$78.63$82.18
52W
$30.90$100.00
Bollinger Bands
$65.02$73.75$82.49
Width: 23.7% – Inside
Implied Move Β±5.2%
$77.51$84.71

VUG β†’ (Y, F, Z, S) $490.15

β–² +0.35% (+1.70)
5D: β–Ό -0.31% (-1.54)
1M: β–Ό -0.70% (-3.44)
6M: β–² +43.60% (+148.82)
YTD: β–² +0.47% (+2.29)
1Y: β–² +16.90% (+70.85)
Volume: 882.2K
52W: $315.12 - $504.86
Market Cap: 118.65B
Volatility: 15.7%
BB: Inside (4.3%)
MACD: +0.898 | +1.065 (Bearish)
MA: 50d: $488.53 | 200d: $444.75
P/C Vol Ratio: 3.37
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 39.41
EPS: 12.44
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.42%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $5.13 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $490.15
Current
Stop Loss: $479.89
-2.1%
Target: $510.66
+4.2%
Risk/Reward: 2.1% / 4.2% (1:2)
Day
$487.40$490.33
52W
$315.12$504.86
Bollinger Bands
$478.33$488.87$499.41
Width: 4.3% – Inside
Implied Move Β±2.0%
$481.96$498.34

LIN ↑ (Y, F, Z, S) $434.58

β–² +0.34% (+1.48)
5D: β–² +1.45% (+6.22)
1M: β–² +8.76% (+35.01)
6M: β–Ό -1.10% (-4.84)
YTD: β–² +1.92% (+8.18)
1Y: β–² +6.66% (+27.15)
Volume: 797.2K
52W: $387.78 - $483.05
Market Cap: 203.78B
Volatility: 17.9%
BB: Inside (13.1%)
MACD: +4.520 | +2.487 (Bullish)
MA: 50d: $417.71 | 200d: $450.00
P/C Vol Ratio: 1.34
Opt Dir: Strong Bearish   Short: 1.8% (3.8d)
P/E: 29.09
EPS: 14.94
1y Target Est: $502.71
Upside %: +15.7%
Div: $6.00 (1.39%)
Annual Dividend: $6.00
Ex-Dividend Date: Dec 02, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.39%
Dividend Growth: N/A
Earnings: Oct 31, 2025
Signal Confidence: HOLD
ATR(14): $5.27 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $434.58
Current
Stop Loss: $424.04
-2.4%
Target: $455.64
+4.8%
Risk/Reward: 2.4% / 4.8% (1:2)
Day
$433.46$438.28
52W
$387.78$483.05
Bollinger Bands
$391.24$418.58$445.92
Width: 13.1% – Inside
Implied Move Β±2.5%
$425.40$443.76

META β†˜ (Y, F, Z, S) $660.91

β–² +0.32% (+2.12)
5D: β–Ό -0.76% (-5.04)
1M: β–Ό -1.78% (-11.96)
6M: β–² +36.67% (+177.34)
YTD: β–² +0.12% (+0.82)
1Y: β–² +5.20% (+32.69)
Volume: 4.6M
52W: $478.72 - $795.06
Market Cap: 1.67T
Volatility: 33.0%
BB: Inside (4.2%)
MACD: +2.802 | +2.881 (Bearish)
MA: 50d: $648.89 | 200d: $673.37
P/C Vol Ratio: 0.63
Opt Dir: Bearish   Short: 1.5% (2.3d)
P/E: 29.24
EPS: 22.60
1y Target Est: $837.15
Upside %: +26.7%
Div: $2.10 (0.32%)
Annual Dividend: $2.10
Ex-Dividend Date: Dec 14, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.09%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $12.92 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $660.91
Current
Stop Loss: $635.07
-3.9%
Target: $712.58
+7.8%
Risk/Reward: 3.9% / 7.8% (1:2)
Day
$652.00$661.67
52W
$478.72$795.06
Bollinger Bands
$643.98$657.88$671.79
Width: 4.2% – Inside
Implied Move Β±2.0%
$649.74$672.08

XLRE β†— (Y, F, Z, S) $40.56

β–² +0.32% (+0.13)
5D: β–Ό -0.39% (-0.16)
1M: β–² +0.03% (+0.01)
6M: β–² +5.25% (+2.02)
YTD: β–² +0.52% (+0.21)
1Y: β–² +4.16% (+1.62)
Volume: 4.3M
52W: $34.79 - $42.42
AUM: 7.57B
Volatility: 12.3%
BB: Inside (2.1%)
MACD: -0.015 | -0.059 (Bullish)
MA: 50d: $40.55 | 200d: $40.61
P/C Vol Ratio: 3.07
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 32.76
EPS: 1.24
1y Target Est: N/A
Upside %: N/A
Div: N/A (3.34%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.37 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $40.56
Current
Stop Loss: $39.83
-1.8%
Target: $42.03
+3.6%
Risk/Reward: 1.8% / 3.6% (1:2)
Day
$40.24$40.58
52W
$34.79$42.42
Bollinger Bands
$39.90$40.32$40.74
Width: 2.1% – Inside
Implied Move Β±2.0%
$39.87$41.25

SCHG β†’ (Y, F, Z, S) $32.83

β–² +0.31% (+0.10)
5D: β–Ό -0.15% (-0.05)
1M: β–Ό -0.39% (-0.13)
6M: β–² +43.03% (+9.88)
YTD: β–² +0.64% (+0.21)
1Y: β–² +14.96% (+4.27)
Volume: 6.8M
52W: $21.31 - $33.71
AUM: 52.61B
Volatility: 16.0%
BB: Inside (4.1%)
MACD: +0.071 | +0.081 (Bearish)
MA: 50d: $32.66 | 200d: $29.69
P/C Vol Ratio: 0.23
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 36.87
EPS: 0.89
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.36%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.34 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $32.83
Current
Stop Loss: $32.15
-2.1%
Target: $34.19
+4.1%
Risk/Reward: 2.1% / 4.1% (1:2)
Day
$32.64$32.83
52W
$21.31$33.71
Bollinger Bands
$32.03$32.71$33.39
Width: 4.1% – Inside
Implied Move Β±2.1%
$32.24$33.42

DIS ↑ (Y, F, Z, S) $114.40

β–² +0.29% (+0.33)
5D: β–Ό -0.34% (-0.39)
1M: β–² +9.38% (+9.81)
6M: β–² +37.70% (+31.32)
YTD: β–² +0.55% (+0.63)
1Y: β–² +4.16% (+4.56)
Volume: 3.6M
52W: $79.22 - $123.85
Market Cap: 205.67B
Volatility: 25.2%
BB: Inside (8.9%)
MACD: +1.671 | +1.516 (Bullish)
MA: 50d: $109.24 | 200d: $109.52
P/C Vol Ratio: 1.24
Opt Dir: Bearish   Short: 1.2% (2.4d)
P/E: 16.67
EPS: 6.86
1y Target Est: $132.50
Upside %: +15.8%
Div: $1.50 (1.31%)
Annual Dividend: $1.50
Ex-Dividend Date: Jun 29, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.15%
Dividend Growth: N/A
Earnings: Nov 13, 2025
Signal Confidence: HOLD
ATR(14): $1.95 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $114.40
Current
Stop Loss: $110.51
-3.4%
Target: $122.18
+6.8%
Risk/Reward: 3.4% / 6.8% (1:2)
Day
$113.11$114.76
52W
$79.22$123.85
Bollinger Bands
$106.82$111.77$116.72
Width: 8.9% – Inside
Implied Move Β±2.0%
$112.48$116.32

CHTR β†— (Y, F, Z, S) $210.61

β–² +0.29% (+0.60)
5D: β–² +0.48% (+1.01)
1M: β–² +2.69% (+5.51)
6M: β–Ό -34.68% (-111.82)
YTD: β–² +0.89% (+1.86)
1Y: β–Ό -39.75% (-138.94)
Volume: 742.7K
52W: $193.00 - $437.06
Market Cap: 28.77B
Volatility: 30.4%
BB: Inside (4.8%)
MACD: -0.405 | -1.390 (Bullish)
MA: 50d: $211.07 | 200d: $303.55
P/C Vol Ratio: 0.54
Opt Dir: Bearish   Short: 24.8% (9.7d)
P/E: 5.84
EPS: 36.06
1y Target Est: $303.82
Upside %: +44.3%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Jan 30, 2026
Signal Confidence: HOLD
ATR(14): $4.38 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $210.61
Current
Stop Loss: $201.86
-4.2%
Target: $228.12
+8.3%
Risk/Reward: 4.2% / 8.3% (1:2)
Day
$207.00$211.15
52W
$193.00$437.06
Bollinger Bands
$203.39$208.40$213.40
Width: 4.8% – Inside
Implied Move Β±3.5%
$204.30$216.92

JPM ↑ (Y, F, Z, S) $334.95

β–² +0.27% (+0.90)
5D: β–² +3.56% (+11.52)
1M: β–² +6.32% (+19.90)
6M: β–² +47.69% (+108.16)
YTD: β–² +3.95% (+12.73)
1Y: β–² +41.28% (+97.87)
Volume: 3.7M
52W: $200.22 - $337.25
Market Cap: 921.02B
Volatility: 23.3%
BB: Inside (10.2%)
MACD: +5.454 | +4.418 (Bullish)
MA: 50d: $313.07 | 200d: $285.55
P/C Vol Ratio: 0.30
Opt Dir: Bullish   Short: 0.9% (2.7d)
P/E: 16.60
EPS: 20.18
1y Target Est: $332.87
Upside %: -0.6%
Div: $6.00 (1.8%)
Annual Dividend: $6.00
Ex-Dividend Date: Jan 05, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.27%
Dividend Growth: N/A
Earnings: Jan 13, 2026
Signal Confidence: HOLD
ATR(14): $5.16 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $334.95
Current
Stop Loss: $324.62
-3.1%
Target: $355.61
+6.2%
Risk/Reward: 3.1% / 6.2% (1:2)
Day
$330.65$335.12
52W
$200.22$337.25
Bollinger Bands
$304.23$320.62$337.01
Width: 10.2% – Inside
Implied Move Β±1.7%
$330.08$339.81

RIVN β†˜ (Y, F, Z, S) $19.64

β–² +0.27% (+0.05)
5D: β–² +0.27% (+0.05)
1M: β–² +9.43% (+1.69)
6M: β–² +76.17% (+8.49)
YTD: β–Ό -0.34% (-0.07)
1Y: β–² +25.00% (+3.93)
Volume: 25.8M
52W: $10.36 - $22.69
Market Cap: 24.08B
Volatility: 82.6%
BB: Inside (33.8%)
MACD: +0.863 | +1.095 (Bearish)
MA: 50d: $16.98 | 200d: $14.30
P/C Vol Ratio: 0.31
Opt Dir: Bullish   Short: 15.0% (4.3d)
P/E: -8.18
EPS: -3.10
1y Target Est: $16.67
Upside %: -15.2%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Feb 12, 2026
Signal Confidence: HOLD
ATR(14): $1.24 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $19.64
Current
Stop Loss: $17.16
-12.6%
Target: $24.60
+25.2%
Risk/Reward: 12.6% / 25.2% (1:2)
Day
$18.88$20.10
52W
$10.36$22.69
Bollinger Bands
$16.13$19.41$22.69
Width: 33.8% – Inside
Implied Move Β±4.5%
$18.89$20.40

BB ↓ (Y, F, Z, S) $3.89

β–² +0.25% (+0.01)
5D: β–² +2.63% (+0.10)
1M: β–Ό -9.96% (-0.43)
6M: β–² +25.88% (+0.80)
YTD: β–² +2.63% (+0.10)
1Y: β–Ό -4.90% (-0.20)
Volume: 3.6M
52W: $2.80 - $6.24
Market Cap: 2.30B
Volatility: 41.4%
BB: Inside (24.0%)
MACD: -0.126 | -0.111 (Bearish)
MA: 50d: $4.29 | 200d: $4.05
P/C Vol Ratio: 0.25
Opt Dir: Bearish   Short: 3.6% (1.9d)
P/E: 97.24
EPS: 0.04
1y Target Est: $4.84
Upside %: +24.3%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Dec 18, 2025
Signal Confidence: HOLD
ATR(14): $0.18 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $3.89
Current
Stop Loss: $3.54
-9.1%
Target: $4.60
+18.1%
Risk/Reward: 9.1% / 18.1% (1:2)
Day
$3.84$3.90
52W
$2.80$6.24
Bollinger Bands
$3.60$4.09$4.58
Width: 24.0% – Inside
Implied Move Β±5.1%
$3.72$4.06

XLP β†˜ (Y, F, Z, S) $77.51

β–² +0.21% (+0.17)
5D: β–Ό -0.81% (-0.64)
1M: β–Ό -0.41% (-0.32)
6M: β–Ό -2.32% (-1.84)
YTD: β–Ό -0.21% (-0.17)
1Y: β–² +2.74% (+2.07)
Volume: 8.8M
52W: $73.79 - $82.67
Market Cap: 16.29B
Volatility: 11.5%
BB: Inside (2.9%)
MACD: +0.009 | +0.143 (Bearish)
MA: 50d: $77.33 | 200d: $78.82
P/C Vol Ratio: 2.49
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 22.04
EPS: 3.52
1y Target Est: N/A
Upside %: N/A
Div: N/A (2.67%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.56 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $77.51
Current
Stop Loss: $76.39
-1.4%
Target: $79.76
+2.9%
Risk/Reward: 1.4% / 2.9% (1:2)
Day
$77.19$77.66
52W
$73.79$82.67
Bollinger Bands
$76.93$78.05$79.16
Width: 2.9% – Inside
Implied Move Β±0.9%
$76.93$78.10

SPRX ↑ (Y, F, Z, S) $40.49

β–² +0.20% (+0.08)
5D: β–² +3.95% (+1.54)
1M: β–² +0.25% (+0.10)
6M: β–² +121.74% (+22.23)
YTD: β–² +5.17% (+1.99)
1Y: β–² +35.64% (+10.64)
Volume: 266.6K
52W: $16.31 - $44.48
AUM: 150.00M
Volatility: 46.4%
BB: Inside (17.6%)
MACD: +0.224 | +0.031 (Bullish)
MA: 50d: $39.55 | 200d: $32.45
P/C Vol Ratio: 3.00
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 58.15
EPS: 0.70
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.30 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $40.49
Current
Stop Loss: $37.88
-6.4%
Target: $45.70
+12.9%
Risk/Reward: 6.4% / 12.9% (1:2)
Day
$39.53$40.49
52W
$16.31$44.48
Bollinger Bands
$35.85$39.30$42.75
Width: 17.6% – Inside
Implied Move Β±2.5%
$39.63$41.35

XHB β†˜ (Y, F, Z, S) $105.44

β–² +0.20% (+0.21)
5D: β–² +1.34% (+1.39)
1M: β–Ό -1.67% (-1.79)
6M: β–² +19.29% (+17.05)
YTD: β–² +2.41% (+2.48)
1Y: β–² +1.53% (+1.59)
Volume: 1.9M
52W: $84.08 - $120.21
AUM: 1.72B
Volatility: 22.3%
BB: Inside (5.6%)
MACD: -0.404 | -0.355 (Bearish)
MA: 50d: $105.33 | 200d: $103.28
P/C Vol Ratio: 1.45
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 15.57
EPS: 6.77
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.74%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.67 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $105.44
Current
Stop Loss: $102.11
-3.2%
Target: $112.11
+6.3%
Risk/Reward: 3.2% / 6.3% (1:2)
Day
$102.71$105.49
52W
$84.08$120.21
Bollinger Bands
$102.55$105.50$108.44
Width: 5.6% – Inside
Implied Move Β±2.7%
$103.01$107.87

NVDU β†— (Y, F, Z, S) $119.90

β–² +0.20% (+0.24)
5D: β–² +0.64% (+0.76)
1M: β–² +4.86% (+5.56)
6M: β–² +224.01% (+82.89)
YTD: β–² +1.85% (+2.18)
1Y: β–² +10.26% (+11.16)
Volume: 590.9K
52W: $30.90 - $158.78
AUM: 586.59M
Volatility: 71.9%
BB: Inside (24.1%)
MACD: +0.993 | -0.175 (Bullish)
MA: 50d: $120.88 | 200d: $98.01
P/C Vol Ratio: 0.49
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 46.62
EPS: 2.57
1y Target Est: N/A
Upside %: N/A
Div: N/A (14.23%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $6.05 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $119.90
Current
Stop Loss: $107.80
-10.1%
Target: $144.10
+20.2%
Risk/Reward: 10.1% / 20.2% (1:2)
Day
$119.27$124.80
52W
$30.90$158.78
Bollinger Bands
$100.90$114.72$128.55
Width: 24.1% – Inside
Implied Move Β±21.9%
$97.63$142.17

BRK-B β†˜ (Y, F, Z, S) $499.39

β–² +0.18% (+0.88)
5D: β–Ό -0.86% (-4.32)
1M: β–Ό -0.98% (-4.95)
6M: β–Ό -1.48% (-7.53)
YTD: β–Ό -0.65% (-3.26)
1Y: β–² +10.63% (+47.98)
Volume: 1.9M
52W: $440.10 - $542.07
Market Cap: 1.08T
Volatility: 14.0%
BB: Inside (3.3%)
MACD: -0.159 | +0.113 (Bearish)
MA: 50d: $498.46 | 200d: $497.63
P/C Vol Ratio: 2.00
Opt Dir: Bearish   Short: 1.0% (2.7d)
P/E: 15.98
EPS: 31.26
1y Target Est: $528.67
Upside %: +5.9%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 01, 2025
Signal Confidence: HOLD
ATR(14): $5.70 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $499.39
Current
Stop Loss: $487.98
-2.3%
Target: $522.21
+4.6%
Risk/Reward: 2.3% / 4.6% (1:2)
Day
$496.07$499.80
52W
$440.10$542.07
Bollinger Bands
$491.06$499.26$507.45
Width: 3.3% – Inside
Implied Move Β±1.2%
$494.46$504.32

NVDL β†— (Y, F, Z, S) $89.54

β–² +0.17% (+0.15)
5D: β–² +0.56% (+0.50)
1M: β–² +4.92% (+4.20)
6M: β–² +222.09% (+61.74)
YTD: β–² +1.74% (+1.53)
1Y: β–² +9.41% (+7.70)
Volume: 10.1M
52W: $23.12 - $118.50
AUM: 4.28B
Volatility: 71.7%
BB: Inside (24.0%)
MACD: +0.764 | -0.097 (Bullish)
MA: 50d: $90.24 | 200d: $73.14
P/C Vol Ratio: 0.57
Opt Dir: Bearish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $4.50 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $89.54
Current
Stop Loss: $80.53
-10.1%
Target: $107.56
+20.1%
Risk/Reward: 10.1% / 20.1% (1:2)
Day
$88.65$93.25
52W
$23.12$118.50
Bollinger Bands
$75.41$85.71$96.02
Width: 24.0% – Inside
Implied Move Β±6.2%
$84.85$94.23

🟒 CSX β†˜ (Y, F, Z, S) $35.97

β–² +0.15% (+0.06)
5D: β–Ό -1.25% (-0.45)
1M: β–Ό -0.92% (-0.33)
6M: β–² +32.53% (+8.83)
YTD: β–Ό -0.79% (-0.28)
1Y: β–² +14.19% (+4.47)
Volume: 10.4M
52W: $25.91 - $37.54
Market Cap: 67.05B
Volatility: 16.4%
BB: Inside (4.2%)
MACD: +0.131 | +0.278 (Bearish)
MA: 50d: $35.69 | 200d: $33.08
P/C Vol Ratio: 0.08
Opt Dir: Bearish   Short: 1.7% (2.9d)
P/E: 23.35
EPS: 1.54
1y Target Est: $39.54
Upside %: +9.9%
Div: $0.52 (1.45%)
Annual Dividend: $0.52
Ex-Dividend Date: Nov 27, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.33%
Dividend Growth: N/A
Earnings: Jan 22, 2026
Signal Confidence: MODERATE (69%)
ATR(14): $0.44 | Stop Loss: $35.09 | R:R: 2.0:1 | Position: 0.8%
🟒 TRADE SETUP (BUY - BUY)
Entry: $35.97
Current
Stop Loss: $35.09
-2.4%
Target: $37.72
+4.9%
Risk/Reward: 2.4% / 4.9% (1:2)
Day
$35.69$36.11
52W
$25.91$37.54
Bollinger Bands
$35.82$36.60$37.38
Width: 4.2% – Inside
Implied Move Β±1.9%
$35.37$36.56

WDAY ↓ (Y, F, Z, S) $209.21

β–² +0.15% (+0.31)
5D: β–Ό -3.56% (-7.72)
1M: β–Ό -4.89% (-10.75)
6M: β–Ό -2.28% (-4.89)
YTD: β–Ό -2.59% (-5.57)
1Y: β–Ό -17.68% (-44.93)
Volume: 658.4K
52W: $202.22 - $283.68
Market Cap: 55.86B
Volatility: 32.1%
BB: Inside (9.2%)
MACD: -3.322 | -2.604 (Bearish)
MA: 50d: $222.80 | 200d: $233.93
P/C Vol Ratio: 0.47
Opt Dir: Bullish   Short: 3.8% (2.9d)
P/E: 88.65
EPS: 2.36
1y Target Est: $275.49
Upside %: +31.7%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 25, 2025
Signal Confidence: HOLD
ATR(14): $4.57 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $209.21
Current
Stop Loss: $200.06
-4.4%
Target: $227.50
+8.7%
Risk/Reward: 4.4% / 8.7% (1:2)
Day
$205.50$209.71
52W
$202.22$283.68
Bollinger Bands
$207.25$217.19$227.13
Width: 9.2% – Inside
Implied Move Β±2.0%
$205.62$212.80

C ↑ (Y, F, Z, S) $123.46

β–² +0.13% (+0.16)
5D: β–² +5.34% (+6.25)
1M: β–² +13.40% (+14.58)
6M: β–² +101.02% (+62.04)
YTD: β–² +5.81% (+6.77)
1Y: β–² +74.44% (+52.69)
Volume: 5.0M
52W: $54.39 - $124.17
Market Cap: 227.29B
Volatility: 24.6%
BB: Inside (16.0%)
MACD: +4.343 | +4.064 (Bullish)
MA: 50d: $107.05 | 200d: $89.66
P/C Vol Ratio: 0.68
Opt Dir: Bullish   Short: 1.6% (1.9d)
P/E: 17.36
EPS: 7.11
1y Target Est: $122.24
Upside %: -1.0%
Div: $2.40 (1.95%)
Annual Dividend: $2.40
Ex-Dividend Date: Nov 02, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.32%
Dividend Growth: N/A
Earnings: Jan 14, 2026
Signal Confidence: HOLD
ATR(14): $2.66 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $123.46
Current
Stop Loss: $118.15
-4.3%
Target: $134.10
+8.6%
Risk/Reward: 4.3% / 8.6% (1:2)
Day
$122.21$124.17
52W
$54.39$124.17
Bollinger Bands
$106.43$115.66$124.89
Width: 16.0% – Inside
Implied Move Β±2.2%
$121.11$125.82

NKE ↑ (Y, F, Z, S) $64.61

β–² +0.13% (+0.08)
5D: β–² +5.60% (+3.42)
1M: β–Ό -1.89% (-1.25)
6M: β–² +17.25% (+9.51)
YTD: β–² +1.42% (+0.90)
1Y: β–Ό -8.15% (-5.73)
Volume: 12.4M
52W: $51.34 - $80.55
Market Cap: 95.65B
Volatility: 37.5%
BB: Inside (21.1%)
MACD: -0.338 | -0.668 (Bullish)
MA: 50d: $63.57 | 200d: $65.92
P/C Vol Ratio: 0.51
Opt Dir: Bearish   Short: 3.9% (1.1d)
P/E: 37.79
EPS: 1.71
1y Target Est: $77.03
Upside %: +19.2%
Div: $1.64 (2.54%)
Annual Dividend: $1.64
Ex-Dividend Date: Nov 30, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.94%
Dividend Growth: N/A
Earnings: Dec 18, 2025
Signal Confidence: HOLD
ATR(14): $2.05 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $64.61
Current
Stop Loss: $60.52
-6.3%
Target: $72.80
+12.7%
Risk/Reward: 6.3% / 12.7% (1:2)
Day
$63.41$64.65
52W
$51.34$80.55
Bollinger Bands
$56.67$63.34$70.01
Width: 21.1% – Inside
Implied Move Β±4.1%
$62.35$66.88

CSGP β†— (Y, F, Z, S) $66.50

β–² +0.13% (+0.08)
5D: β–Ό -2.00% (-1.36)
1M: β–Ό -2.21% (-1.51)
6M: β–Ό -14.53% (-11.31)
YTD: β–Ό -1.09% (-0.74)
1Y: β–Ό -6.61% (-4.71)
Volume: 856.2K
52W: $62.00 - $97.43
Market Cap: 28.19B
Volatility: 32.1%
BB: Inside (8.2%)
MACD: -0.510 | -0.726 (Bullish)
MA: 50d: $68.10 | 200d: $78.88
P/C Vol Ratio: 0.67
Opt Dir: Bullish   Short: 4.9% (4.7d)
P/E: 1108.42
EPS: 0.06
1y Target Est: $91.94
Upside %: +38.2%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 28, 2025
Signal Confidence: HOLD
ATR(14): $1.37 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $66.50
Current
Stop Loss: $63.76
-4.1%
Target: $71.99
+8.2%
Risk/Reward: 4.1% / 8.2% (1:2)
Day
$65.23$66.89
52W
$62.00$97.43
Bollinger Bands
$63.70$66.43$69.16
Width: 8.2% – Inside
Implied Move Β±4.8%
$63.81$69.20

TRFK β†’ (Y, F, Z, S) $64.93

β–² +0.12% (+0.08)
5D: β–² +0.39% (+0.25)
1M: β–Ό -4.10% (-2.77)
6M: β–² +58.91% (+24.07)
YTD: β–² +1.36% (+0.87)
1Y: β–² +23.45% (+12.34)
Volume: 414.6K
52W: $37.46 - $74.22
AUM: 340.02M
Volatility: 26.6%
BB: Inside (11.3%)
MACD: -0.578 | -0.751 (Bullish)
MA: 50d: $67.19 | 200d: $59.68
P/C Vol Ratio: 0.00
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 42.20
EPS: 1.54
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.17 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $64.93
Current
Stop Loss: $62.59
-3.6%
Target: $69.60
+7.2%
Risk/Reward: 3.6% / 7.2% (1:2)
Day
$64.20$64.93
52W
$37.46$74.22
Bollinger Bands
$61.32$65.00$68.69
Width: 11.3% – Inside
Implied Move Β±22.6%
$52.43$77.42

PG ↓ (Y, F, Z, S) $140.52

β–² +0.11% (+0.15)
5D: β–Ό -2.45% (-3.53)
1M: β–Ό -2.04% (-2.93)
6M: β–Ό -14.05% (-22.96)
YTD: β–Ό -1.95% (-2.79)
1Y: β–Ό -10.19% (-15.95)
Volume: 3.8M
52W: $138.14 - $176.43
Market Cap: 328.89B
Volatility: 17.6%
BB: Inside (6.8%)
MACD: -1.144 | -0.917 (Bearish)
MA: 50d: $145.90 | 200d: $154.34
P/C Vol Ratio: 0.32
Opt Dir: Bearish   Short: 0.8% (2.0d)
P/E: 20.51
EPS: 6.85
1y Target Est: $168.95
Upside %: +20.2%
Div: $4.23 (3.01%)
Annual Dividend: $4.23
Ex-Dividend Date: Oct 23, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.60%
Dividend Growth: N/A
Earnings: Jan 22, 2026
Signal Confidence: HOLD
ATR(14): $1.82 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $140.52
Current
Stop Loss: $136.88
-2.6%
Target: $147.79
+5.2%
Risk/Reward: 2.6% / 5.2% (1:2)
Day
$140.02$141.37
52W
$138.14$176.43
Bollinger Bands
$138.09$142.96$147.83
Width: 6.8% – Inside
Implied Move Β±1.5%
$138.69$142.35

NVDA β†— (Y, F, Z, S) $188.26

β–² +0.07% (+0.14)
5D: β–² +0.38% (+0.72)
1M: β–² +3.21% (+5.85)
6M: β–² +94.30% (+91.37)
YTD: β–² +0.94% (+1.76)
1Y: β–² +26.02% (+38.87)
Volume: 126.6M
52W: $86.60 - $212.18
Market Cap: 4.58T
Volatility: 36.1%
BB: Inside (12.8%)
MACD: +1.433 | +0.539 (Bullish)
MA: 50d: $186.78 | 200d: $161.18
P/C Vol Ratio: 0.33
Opt Dir: Bearish   Short: 1.1% (1.8d)
P/E: 46.60
EPS: 4.04
1y Target Est: $253.54
Upside %: +34.7%
Div: $0.04 (0.02%)
Annual Dividend: $0.04
Ex-Dividend Date: Dec 03, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.01%
Dividend Growth: N/A
Earnings: Feb 25, 2026
Signal Confidence: HOLD
ATR(14): $5.00 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $188.26
Current
Stop Loss: $178.27
-5.3%
Target: $208.25
+10.6%
Risk/Reward: 5.3% / 10.6% (1:2)
Day
$187.87$192.17
52W
$86.60$212.18
Bollinger Bands
$171.79$183.49$195.19
Width: 12.8% – Inside
Implied Move Β±2.9%
$183.56$192.96

PYPL β†˜ (Y, F, Z, S) $59.31

β–² +0.04% (+0.02)
5D: β–² +0.36% (+0.21)
1M: β–Ό -4.76% (-2.97)
6M: β–Ό -1.38% (-0.83)
YTD: β–² +1.60% (+0.93)
1Y: β–Ό -33.60% (-30.01)
Volume: 6.3M
52W: $55.72 - $93.03
Market Cap: 56.67B
Volatility: 30.0%
BB: Inside (6.8%)
MACD: -1.046 | -1.119 (Bullish)
MA: 50d: $62.81 | 200d: $67.72
P/C Vol Ratio: 0.34
Opt Dir: Bearish   Short: 4.7% (3.1d)
P/E: 11.91
EPS: 4.98
1y Target Est: $77.27
Upside %: +30.3%
Div: $0.56 (0.94%)
Annual Dividend: $0.56
Ex-Dividend Date: Nov 18, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Feb 03, 2026
Signal Confidence: HOLD
ATR(14): $1.15 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $59.31
Current
Stop Loss: $57.02
-3.9%
Target: $63.90
+7.7%
Risk/Reward: 3.9% / 7.7% (1:2)
Day
$58.98$59.64
52W
$55.72$93.03
Bollinger Bands
$57.99$60.05$62.10
Width: 6.8% – Inside
Implied Move Β±2.4%
$58.10$60.53

VZ β†˜ (Y, F, Z, S) $40.24

β–² +0.04% (+0.01)
5D: β–Ό -1.12% (-0.46)
1M: β–Ό -3.47% (-1.44)
6M: β–Ό -3.10% (-1.29)
YTD: β–Ό -1.19% (-0.49)
1Y: β–² +8.60% (+3.19)
Volume: 15.8M
52W: $35.79 - $45.09
Market Cap: 169.69B
Volatility: 19.0%
BB: Inside (3.9%)
MACD: -0.070 | -0.064 (Bearish)
MA: 50d: $40.41 | 200d: $41.60
P/C Vol Ratio: 0.81
Opt Dir: Bearish   Short: 2.8% (5.0d)
P/E: 8.58
EPS: 4.69
1y Target Est: $47.74
Upside %: +18.6%
Div: $2.76 (6.86%)
Annual Dividend: $2.76
Ex-Dividend Date: Jan 11, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.58%
Dividend Growth: N/A
Earnings: Jan 30, 2026
Signal Confidence: HOLD
ATR(14): $0.43 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $40.24
Current
Stop Loss: $39.38
-2.2%
Target: $41.98
+4.3%
Risk/Reward: 2.2% / 4.3% (1:2)
Day
$40.00$40.46
52W
$35.79$45.09
Bollinger Bands
$39.66$40.44$41.22
Width: 3.9% – Inside
Implied Move Β±1.5%
$39.73$40.75

CRWD ↓ (Y, F, Z, S) $456.70

β–² +0.03% (+0.15)
5D: β–Ό -3.98% (-18.93)
1M: β–Ό -10.81% (-55.33)
6M: β–² +25.92% (+94.01)
YTD: β–Ό -2.57% (-12.06)
1Y: β–² +24.66% (+90.35)
Volume: 801.0K
52W: $298.00 - $566.90
Market Cap: 115.13B
Volatility: 31.7%
BB: Inside (17.1%)
MACD: -13.631 | -11.277 (Bearish)
MA: 50d: $509.88 | 200d: $462.55
P/C Vol Ratio: 0.44
Opt Dir: Bullish   Short: 3.1% (3.6d)
P/E: 94.47
EPS: -1.28
1y Target Est: $554.56
Upside %: +21.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Mar 10, 2026
Signal Confidence: HOLD
ATR(14): $11.21 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $456.70
Current
Stop Loss: $434.29
-4.9%
Target: $501.54
+9.8%
Risk/Reward: 4.9% / 9.8% (1:2)
Day
$451.74$457.20
52W
$298.00$566.90
Bollinger Bands
$443.04$484.36$525.67
Width: 17.1% – Inside
Implied Move Β±3.1%
$444.63$468.77

VRSK β†— (Y, F, Z, S) $220.71

β–² +0.00% (+0.01)
5D: β–Ό -1.63% (-3.65)
1M: β–Ό -0.03% (-0.07)
6M: β–Ό -21.97% (-62.16)
YTD: β–Ό -1.33% (-2.98)
1Y: β–Ό -18.60% (-50.44)
Volume: 615.8K
52W: $196.59 - $321.24
Market Cap: 30.84B
Volatility: 31.3%
BB: Inside (5.2%)
MACD: +0.121 | -0.316 (Bullish)
MA: 50d: $219.78 | 200d: $266.60
P/C Vol Ratio: 0.14
Opt Dir: Bullish   Short: 2.7% (2.4d)
P/E: 34.01
EPS: 6.49
1y Target Est: $248.88
Upside %: +12.8%
Div: $1.80 (0.82%)
Annual Dividend: $1.80
Ex-Dividend Date: Dec 14, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.27%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $3.57 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $220.71
Current
Stop Loss: $213.56
-3.2%
Target: $235.00
+6.5%
Risk/Reward: 3.2% / 6.5% (1:2)
Day
$217.74$220.92
52W
$196.59$321.24
Bollinger Bands
$213.63$219.28$224.93
Width: 5.2% – Inside
Implied Move Β±2.6%
$215.87$225.56

FER β†— (Y, F, Z, S) $67.17

β–Ό -0.01% (-0.01)
5D: β–² +3.47% (+2.25)
1M: β–² +1.73% (+1.14)
6M: β–² +51.96% (+22.97)
YTD: β–² +3.96% (+2.56)
1Y: β–² +61.44% (+25.56)
Volume: 1.1M
52W: $39.39 - $68.09
Market Cap: 48.25B
Volatility: 20.5%
BB: Inside (6.0%)
MACD: +0.308 | +0.337 (Bearish)
MA: 50d: $64.82 | 200d: $55.19
P/C Vol Ratio: 0.76
Opt Dir: Bullish   Short: 0.5% (0.3d)
P/E: 12.17
EPS: 5.52
1y Target Est: $70.85
Upside %: +5.5%
Div: $1.05 (1.56%)
Annual Dividend: $1.05
Ex-Dividend Date: Dec 04, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.18%
Dividend Growth: N/A
Earnings: Oct 28, 2025
Signal Confidence: HOLD
ATR(14): $1.14 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $67.17
Current
Stop Loss: $64.90
-3.4%
Target: $71.71
+6.8%
Risk/Reward: 3.4% / 6.8% (1:2)
Day
$66.31$67.17
52W
$39.39$68.09
Bollinger Bands
$64.08$66.05$68.02
Width: 6.0% – Inside
Implied Move Β±4.0%
$64.89$69.45

EA β†— (Y, F, Z, S) $204.32

β–Ό -0.02% (-0.04)
5D: β–Ό -0.01% (-0.03)
1M: β–² +0.20% (+0.40)
6M: β–² +44.44% (+62.86)
YTD: β–Ό -0.00% (-0.01)
1Y: β–² +41.34% (+59.76)
Volume: 469.1K
52W: $114.66 - $204.89
Market Cap: 51.10B
Volatility: 2.9%
BB: Inside (0.8%)
MACD: +0.706 | +0.865 (Bearish)
MA: 50d: $202.35 | 200d: $171.25
P/C Vol Ratio: 1.00
Opt Dir: Neutral   Short: 3.0% (3.9d)
P/E: 59.57
EPS: 3.43
1y Target Est: $202.36
Upside %: -1.0%
Div: $0.76 (0.37%)
Annual Dividend: $0.76
Ex-Dividend Date: Dec 02, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.22%
Dividend Growth: N/A
Earnings: Oct 28, 2025
Signal Confidence: HOLD
ATR(14): $0.55 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $204.32
Current
Stop Loss: $203.22
-0.5%
Target: $206.53
+1.1%
Risk/Reward: 0.5% / 1.1% (1:2)
Day
$204.25$204.67
52W
$114.66$204.89
Bollinger Bands
$203.32$204.09$204.86
Width: 0.8% – Inside
Implied Move Β±0.8%
$202.88$205.77

EXC β†˜ (Y, F, Z, S) $43.51

β–Ό -0.07% (-0.03)
5D: β–Ό -0.93% (-0.41)
1M: β–Ό -0.68% (-0.30)
6M: β–Ό -3.36% (-1.51)
YTD: β–Ό -0.18% (-0.08)
1Y: β–² +19.29% (+7.04)
Volume: 1.9M
52W: $35.83 - $48.09
Market Cap: 43.94B
Volatility: 15.7%
BB: Inside (2.7%)
MACD: -0.361 | -0.431 (Bullish)
MA: 50d: $45.00 | 200d: $44.09
P/C Vol Ratio: 0.68
Opt Dir: Bearish   Short: 5.1% (7.5d)
P/E: 15.59
EPS: 2.79
1y Target Est: $49.25
Upside %: +13.2%
Div: $1.60 (3.67%)
Annual Dividend: $1.60
Ex-Dividend Date: Nov 09, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.57%
Dividend Growth: N/A
Earnings: Feb 12, 2026
Signal Confidence: HOLD
ATR(14): $0.57 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $43.51
Current
Stop Loss: $42.36
-2.6%
Target: $45.80
+5.3%
Risk/Reward: 2.6% / 5.3% (1:2)
Day
$43.33$43.79
52W
$35.83$48.09
Bollinger Bands
$43.07$43.65$44.23
Width: 2.7% – Inside
Implied Move Β±2.6%
$42.53$44.49

TRI β†˜ (Y, F, Z, S) $129.23

β–Ό -0.09% (-0.12)
5D: β–Ό -2.70% (-3.59)
1M: β–Ό -3.14% (-4.19)
6M: β–Ό -27.47% (-48.95)
YTD: β–Ό -2.02% (-2.66)
1Y: β–Ό -18.54% (-29.42)
Volume: 451.4K
52W: $126.21 - $216.72
Market Cap: 58.42B
Volatility: 27.9%
BB: Inside (5.7%)
MACD: -1.883 | -1.978 (Bullish)
MA: 50d: $137.10 | 200d: $169.37
P/C Vol Ratio: 2.11
Opt Dir: Bearish   Short: N/A (6.5d)
P/E: 33.31
EPS: 3.88
1y Target Est: $180.73
Upside %: +39.8%
Div: $2.38 (1.84%)
Annual Dividend: $2.38
Ex-Dividend Date: Nov 17, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.60%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $2.20 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $129.23
Current
Stop Loss: $124.83
-3.4%
Target: $138.02
+6.8%
Risk/Reward: 3.4% / 6.8% (1:2)
Day
$127.14$129.37
52W
$126.21$216.72
Bollinger Bands
$127.54$131.26$134.99
Width: 5.7% – Inside
Implied Move Β±2.9%
$126.08$132.37

KO ↓ (Y, F, Z, S) $67.87

β–Ό -0.10% (-0.07)
5D: β–Ό -3.14% (-2.20)
1M: β–Ό -3.04% (-2.13)
6M: β–Ό -4.69% (-3.34)
YTD: β–Ό -2.92% (-2.04)
1Y: β–² +14.90% (+8.80)
Volume: 9.8M
52W: $58.88 - $72.91
Market Cap: 292.09B
Volatility: 17.0%
BB: Below Lower (4.6%)
MACD: -0.423 | -0.145 (Bearish)
MA: 50d: $70.09 | 200d: $68.99
P/C Vol Ratio: 0.48
Opt Dir: Bullish   Short: 0.9% (2.9d)
P/E: 22.47
EPS: 3.02
1y Target Est: $79.61
Upside %: +17.3%
Div: $2.04 (3.0%)
Annual Dividend: $2.04
Ex-Dividend Date: Nov 30, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.67%
Dividend Growth: N/A
Earnings: Oct 21, 2025
Signal Confidence: HOLD
ATR(14): $0.63 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $67.87
Current
Stop Loss: $66.60
-1.9%
Target: $70.41
+3.7%
Risk/Reward: 1.9% / 3.7% (1:2)
Day
$67.73$68.25
52W
$58.88$72.91
Bollinger Bands
$68.28$69.89$71.49
Width: 4.6% – Below Lower
Implied Move Β±1.3%
$67.14$68.60

WBD β†’ (Y, F, Z, S) $28.50

β–Ό -0.12% (-0.03)
5D: β–Ό -1.54% (-0.44)
1M: β–² +9.26% (+2.42)
6M: β–² +258.88% (+20.56)
YTD: β–Ό -1.13% (-0.32)
1Y: β–² +163.11% (+17.67)
Volume: 7.4M
52W: $7.52 - $30.00
Market Cap: 70.62B
Volatility: 39.4%
BB: Inside (9.7%)
MACD: +1.022 | +1.299 (Bearish)
MA: 50d: $25.25 | 200d: $15.54
P/C Vol Ratio: 0.48
Opt Dir: Bullish   Short: 4.8% (2.8d)
P/E: 149.97
EPS: 0.19
1y Target Est: $27.25
Upside %: -4.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: HOLD
ATR(14): $0.60 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $28.50
Current
Stop Loss: $27.30
-4.2%
Target: $30.90
+8.4%
Risk/Reward: 4.2% / 8.4% (1:2)
Day
$28.35$28.57
52W
$7.52$30.00
Bollinger Bands
$27.33$28.74$30.14
Width: 9.7% – Inside
Implied Move Β±3.2%
$27.73$29.26

KDP ↓ (Y, F, Z, S) $27.27

β–Ό -0.18% (-0.05)
5D: β–Ό -2.32% (-0.65)
1M: β–Ό -4.16% (-1.18)
6M: β–Ό -20.88% (-7.20)
YTD: β–Ό -1.84% (-0.51)
1Y: β–Ό -9.50% (-2.86)
Volume: 4.9M
52W: $24.82 - $35.33
Market Cap: 37.05B
Volatility: 28.1%
BB: Inside (9.2%)
MACD: -0.064 | +0.075 (Bearish)
MA: 50d: $27.56 | 200d: $30.38
P/C Vol Ratio: 0.33
Opt Dir: Bearish   Short: 3.4% (4.1d)
P/E: 23.51
EPS: 1.16
1y Target Est: $34.13
Upside %: +25.2%
Div: $0.92 (3.37%)
Annual Dividend: $0.92
Ex-Dividend Date: Jan 01, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.79%
Dividend Growth: N/A
Earnings: Oct 27, 2025
Signal Confidence: HOLD
ATR(14): $0.43 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $27.27
Current
Stop Loss: $26.42
-3.1%
Target: $28.98
+6.3%
Risk/Reward: 3.1% / 6.3% (1:2)
Day
$26.97$27.30
52W
$24.82$35.33
Bollinger Bands
$26.86$28.17$29.47
Width: 9.2% – Inside
Implied Move Β±2.9%
$26.61$27.93

MNST β†˜ (Y, F, Z, S) $75.53

β–Ό -0.19% (-0.14)
5D: β–Ό -2.44% (-1.89)
1M: β–² +2.42% (+1.79)
6M: β–² +30.19% (+17.52)
YTD: β–Ό -1.49% (-1.14)
1Y: β–² +45.60% (+23.66)
Volume: 1.2M
52W: $45.70 - $78.31
Market Cap: 73.79B
Volatility: 23.4%
BB: Inside (8.4%)
MACD: +0.963 | +1.232 (Bearish)
MA: 50d: $72.90 | 200d: $65.01
P/C Vol Ratio: 0.41
Opt Dir: Bearish   Short: 2.7% (3.9d)
P/E: 42.91
EPS: 1.76
1y Target Est: $76.05
Upside %: +0.7%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: HOLD
ATR(14): $1.15 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $75.53
Current
Stop Loss: $73.23
-3.0%
Target: $80.11
+6.1%
Risk/Reward: 3.0% / 6.1% (1:2)
Day
$75.30$75.89
52W
$45.70$78.31
Bollinger Bands
$72.47$75.66$78.85
Width: 8.4% – Inside
Implied Move Β±3.2%
$73.49$77.56

BUZZ ↑ (Y, F, Z, S) $34.17

β–Ό -0.20% (-0.07)
5D: β–² +4.08% (+1.34)
1M: β–Ό -1.64% (-0.57)
6M: β–² +62.40% (+13.13)
YTD: β–² +5.17% (+1.68)
1Y: β–² +29.33% (+7.75)
Volume: 784.3K
52W: $18.82 - $39.58
AUM: 107.77M
Volatility: 38.2%
BB: Inside (11.4%)
MACD: -0.103 | -0.239 (Bullish)
MA: 50d: $34.17 | 200d: $30.89
P/C Vol Ratio: 1.88
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 33.28
EPS: 1.03
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.37%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.77 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $34.17
Current
Stop Loss: $32.64
-4.5%
Target: $37.23
+9.0%
Risk/Reward: 4.5% / 9.0% (1:2)
Day
$34.00$34.37
52W
$18.82$39.58
Bollinger Bands
$31.63$33.54$35.45
Width: 11.4% – Inside
Implied Move Β±4.6%
$32.84$35.50

XEL β†’ (Y, F, Z, S) $73.91

β–Ό -0.22% (-0.16)
5D: β–Ό -0.38% (-0.28)
1M: β–Ό -3.50% (-2.68)
6M: β–² +9.74% (+6.56)
YTD: β–² +0.07% (+0.05)
1Y: β–² +17.17% (+10.83)
Volume: 1.8M
52W: $60.60 - $82.37
Market Cap: 43.72B
Volatility: 15.2%
BB: Inside (4.5%)
MACD: -0.920 | -1.184 (Bullish)
MA: 50d: $77.37 | 200d: $72.38
P/C Vol Ratio: 1.16
Opt Dir: Bearish   Short: 6.2% (5.6d)
P/E: 22.53
EPS: 3.28
1y Target Est: $87.53
Upside %: +18.4%
Div: $2.28 (3.08%)
Annual Dividend: $2.28
Ex-Dividend Date: Dec 28, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.69%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $1.17 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $73.91
Current
Stop Loss: $71.58
-3.2%
Target: $78.57
+6.3%
Risk/Reward: 3.2% / 6.3% (1:2)
Day
$73.56$74.36
52W
$60.60$82.37
Bollinger Bands
$72.25$73.90$75.55
Width: 4.5% – Inside
Implied Move Β±3.0%
$72.02$75.80

SHOP β†’ (Y, F, Z, S) $165.79

β–Ό -0.25% (-0.42)
5D: β–² +1.25% (+2.05)
1M: β–² +2.92% (+4.71)
6M: β–² +103.07% (+84.15)
YTD: β–² +2.99% (+4.82)
1Y: β–² +45.12% (+51.55)
Volume: 1.8M
52W: $69.84 - $182.19
Market Cap: 215.83B
Volatility: 44.2%
BB: Inside (10.1%)
MACD: +1.461 | +2.072 (Bearish)
MA: 50d: $161.25 | 200d: $131.83
P/C Vol Ratio: 0.59
Opt Dir: Bearish   Short: 1.5% (3.4d)
P/E: 121.90
EPS: 1.36
1y Target Est: $177.47
Upside %: +7.0%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $5.72 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $165.79
Current
Stop Loss: $154.35
-6.9%
Target: $188.66
+13.8%
Risk/Reward: 6.9% / 13.8% (1:2)
Day
$160.34$165.99
52W
$69.84$182.19
Bollinger Bands
$156.54$164.90$173.26
Width: 10.1% – Inside
Implied Move Β±4.1%
$160.02$171.56

BKR ↑ (Y, F, Z, S) $48.94

β–Ό -0.26% (-0.13)
5D: β–² +6.18% (+2.85)
1M: β–Ό -0.53% (-0.26)
6M: β–² +31.60% (+11.75)
YTD: β–² +7.47% (+3.40)
1Y: β–² +16.71% (+7.01)
Volume: 3.2M
52W: $33.06 - $51.12
Market Cap: 48.29B
Volatility: 29.1%
BB: Inside (12.1%)
MACD: -0.091 | -0.514 (Bullish)
MA: 50d: $47.62 | 200d: $42.97
P/C Vol Ratio: 0.43
Opt Dir: Bullish   Short: 4.6% (4.7d)
P/E: 16.88
EPS: 2.90
1y Target Est: $53.14
Upside %: +8.6%
Div: $0.92 (1.87%)
Annual Dividend: $0.92
Ex-Dividend Date: Nov 03, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.31%
Dividend Growth: N/A
Earnings: Jan 25, 2026
Signal Confidence: HOLD
ATR(14): $1.16 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $48.94
Current
Stop Loss: $46.62
-4.7%
Target: $53.59
+9.5%
Risk/Reward: 4.7% / 9.5% (1:2)
Day
$48.53$49.95
52W
$33.06$51.12
Bollinger Bands
$43.56$46.36$49.17
Width: 12.1% – Inside
Implied Move Β±4.2%
$47.21$50.67

GEV β†— (Y, F, Z, S) $679.03

β–Ό -0.27% (-1.83)
5D: β–² +3.02% (+19.88)
1M: β–² +7.64% (+48.17)
6M: β–² +117.23% (+366.45)
YTD: β–² +3.97% (+25.94)
1Y: β–² +83.30% (+308.58)
Volume: 1.5M
52W: $251.66 - $730.46
Market Cap: 184.85B
Volatility: 59.5%
BB: Inside (15.9%)
MACD: +16.128 | +16.744 (Bearish)
MA: 50d: $613.15 | 200d: $538.61
P/C Vol Ratio: 1.46
Opt Dir: Strong Bearish   Short: 2.6% (3.4d)
P/E: 110.77
EPS: 6.13
1y Target Est: $758.95
Upside %: +11.8%
Div: $1.25 (0.18%)
Annual Dividend: $1.25
Ex-Dividend Date: Jan 04, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.12%
Dividend Growth: N/A
Earnings: Jan 28, 2026
Signal Confidence: HOLD
ATR(14): $24.68 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $679.03
Current
Stop Loss: $629.68
-7.3%
Target: $777.74
+14.5%
Risk/Reward: 7.3% / 14.5% (1:2)
Day
$658.96$680.69
52W
$251.66$730.46
Bollinger Bands
$611.55$664.35$717.14
Width: 15.9% – Inside
Implied Move Β±3.7%
$657.53$700.54

SHPU β†’ (Y, F, Z, S) $30.80

β–Ό -0.40% (-0.12)
5D: β–² +2.22% (+0.67)
1M: β–² +6.08% (+1.77)
6M: β–² +3.06% (+0.92)
YTD: β–² +5.58% (+1.63)
1Y: β–² +3.06% (+0.92)
Volume: 11.0K
52W: $21.18 - $38.72
AUM: 9.39M
Volatility: 89.0%
BB: Inside (20.8%)
MACD: +0.386 | +0.610 (Bearish)
MA: 50d: $29.74 | 200d: $nan
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: 54.18
EPS: 0.57
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.93 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $30.80
Current
Stop Loss: $26.94
-12.5%
Target: $38.51
+25.0%
Risk/Reward: 12.5% / 25.0% (1:2)
Day
$29.23$30.80
52W
$21.18$38.72
Bollinger Bands
$27.52$30.71$33.90
Width: 20.8% – Inside

XLC β†— (Y, F, Z, S) $117.26

β–Ό -0.41% (-0.49)
5D: β–Ό -0.87% (-1.03)
1M: β–² +0.44% (+0.51)
6M: β–² +34.20% (+29.89)
YTD: β–Ό -0.39% (-0.46)
1Y: β–² +19.96% (+19.51)
Volume: 3.2M
52W: $83.26 - $118.87
AUM: 26.19B
Volatility: 11.8%
BB: Inside (3.0%)
MACD: +0.819 | +0.874 (Bearish)
MA: 50d: $114.82 | 200d: $107.49
P/C Vol Ratio: 1.67
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 18.31
EPS: 6.40
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.05%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.01 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $117.26
Current
Stop Loss: $115.25
-1.7%
Target: $121.30
+3.4%
Risk/Reward: 1.7% / 3.4% (1:2)
Day
$116.55$117.88
52W
$83.26$118.87
Bollinger Bands
$115.14$116.86$118.59
Width: 3.0% – Inside
Implied Move Β±1.2%
$116.02$118.51

WFC ↑ (Y, F, Z, S) $95.98

β–Ό -0.42% (-0.40)
5D: β–² +1.77% (+1.67)
1M: β–² +6.85% (+6.15)
6M: β–² +52.45% (+33.02)
YTD: β–² +2.98% (+2.78)
1Y: β–² +36.15% (+25.48)
Volume: 6.7M
52W: $57.46 - $97.76
Market Cap: 307.47B
Volatility: 24.8%
BB: Inside (8.6%)
MACD: +2.096 | +2.096 (Bullish)
MA: 50d: $88.84 | 200d: $79.47
P/C Vol Ratio: 1.31
Opt Dir: Bearish   Short: 1.3% (3.7d)
P/E: 15.81
EPS: 6.07
1y Target Est: $97.08
Upside %: +1.1%
Div: $1.80 (1.87%)
Annual Dividend: $1.80
Ex-Dividend Date: Nov 06, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.27%
Dividend Growth: N/A
Earnings: Jan 14, 2026
Signal Confidence: HOLD
ATR(14): $1.54 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $95.98
Current
Stop Loss: $92.89
-3.2%
Target: $102.15
+6.4%
Risk/Reward: 3.2% / 6.4% (1:2)
Day
$95.07$96.15
52W
$57.46$97.76
Bollinger Bands
$89.31$93.30$97.30
Width: 8.6% – Inside
Implied Move Β±1.8%
$94.51$97.45

HIMS β†˜ (Y, F, Z, S) $34.56

β–Ό -0.43% (-0.15)
5D: β–² +4.61% (+1.52)
1M: β–Ό -11.83% (-4.64)
6M: β–² +33.76% (+8.72)
YTD: β–² +6.44% (+2.09)
1Y: β–² +28.48% (+7.66)
Volume: 6.4M
52W: $23.97 - $72.98
Market Cap: 7.87B
Volatility: 70.5%
BB: Inside (22.3%)
MACD: -1.471 | -1.613 (Bullish)
MA: 50d: $38.34 | 200d: $45.79
P/C Vol Ratio: 0.61
Opt Dir: Bearish   Short: 35.2% (5.6d)
P/E: 65.21
EPS: 0.53
1y Target Est: $44.67
Upside %: +29.2%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 03, 2025
Signal Confidence: HOLD
ATR(14): $1.48 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $34.56
Current
Stop Loss: $31.61
-8.5%
Target: $40.46
+17.1%
Risk/Reward: 8.5% / 17.1% (1:2)
Day
$34.37$35.56
52W
$23.97$72.98
Bollinger Bands
$31.61$35.57$39.53
Width: 22.3% – Inside
Implied Move Β±4.8%
$33.14$35.98

TARK β†— (Y, F, Z, S) $53.55

β–Ό -0.43% (-0.23)
5D: β–² +8.08% (+4.01)
1M: β–Ό -3.11% (-1.72)
6M: β–² +188.71% (+35.00)
YTD: β–² +10.30% (+5.00)
1Y: β–² +35.23% (+13.95)
Volume: 8.4K
52W: $14.37 - $74.00
AUM: 30.42M
Volatility: 72.8%
BB: Inside (17.7%)
MACD: -0.585 | -0.776 (Bullish)
MA: 50d: $54.19 | 200d: $45.52
P/C Vol Ratio: 1.33
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.35 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $53.55
Current
Stop Loss: $48.84
-8.8%
Target: $62.96
+17.6%
Risk/Reward: 8.8% / 17.6% (1:2)
Day
$53.24$54.74
52W
$14.37$74.00
Bollinger Bands
$47.97$52.64$57.30
Width: 17.7% – Inside
Implied Move Β±11.0%
$48.53$58.56

TRV β†˜ (Y, F, Z, S) $286.49

β–Ό -0.44% (-1.27)
5D: β–Ό -2.01% (-5.89)
1M: β–² +2.40% (+6.71)
6M: β–² +16.18% (+39.91)
YTD: β–Ό -1.23% (-3.57)
1Y: β–² +20.38% (+48.50)
Volume: 617.0K
52W: $226.54 - $295.68
Market Cap: 64.50B
Volatility: 16.6%
BB: Inside (7.2%)
MACD: +1.286 | +2.141 (Bearish)
MA: 50d: $283.77 | 200d: $269.02
P/C Vol Ratio: 0.61
Opt Dir: Bullish   Short: 1.7% (3.6d)
P/E: 11.27
EPS: 25.41
1y Target Est: $298.09
Upside %: +4.0%
Div: $4.40 (1.53%)
Annual Dividend: $4.40
Ex-Dividend Date: Dec 09, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.17%
Dividend Growth: N/A
Earnings: Jan 21, 2026
Signal Confidence: HOLD
ATR(14): $4.03 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $286.49
Current
Stop Loss: $278.43
-2.8%
Target: $302.63
+5.6%
Risk/Reward: 2.8% / 5.6% (1:2)
Day
$282.08$286.89
52W
$226.54$295.68
Bollinger Bands
$277.81$288.26$298.71
Width: 7.2% – Inside
Implied Move Β±3.2%
$278.72$294.27

CSCO ↓ (Y, F, Z, S) $75.22

β–Ό -0.47% (-0.36)
5D: β–Ό -2.30% (-1.77)
1M: β–Ό -3.00% (-2.33)
6M: β–² +40.78% (+21.79)
YTD: β–Ό -1.82% (-1.40)
1Y: β–² +31.11% (+17.85)
Volume: 7.1M
52W: $51.21 - $80.39
Market Cap: 297.22B
Volatility: 21.8%
BB: Inside (6.2%)
MACD: +0.059 | +0.483 (Bearish)
MA: 50d: $75.57 | 200d: $67.12
P/C Vol Ratio: 0.37
Opt Dir: Bearish   Short: 1.4% (2.5d)
P/E: 29.04
EPS: 2.59
1y Target Est: $85.43
Upside %: +13.6%
Div: $1.64 (2.17%)
Annual Dividend: $1.64
Ex-Dividend Date: Jan 01, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.63%
Dividend Growth: N/A
Earnings: Feb 11, 2026
Signal Confidence: HOLD
ATR(14): $1.16 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $75.22
Current
Stop Loss: $72.90
-3.1%
Target: $79.87
+6.2%
Risk/Reward: 3.1% / 6.2% (1:2)
Day
$74.81$75.66
52W
$51.21$80.39
Bollinger Bands
$74.96$77.36$79.76
Width: 6.2% – Inside
Implied Move Β±1.6%
$74.22$76.23

ORLY ↓ (Y, F, Z, S) $90.14

β–Ό -0.49% (-0.44)
5D: β–Ό -1.45% (-1.33)
1M: β–Ό -8.85% (-8.75)
6M: β–Ό -1.20% (-1.09)
YTD: β–Ό -1.17% (-1.07)
1Y: β–² +11.70% (+9.44)
Volume: 5.1M
52W: $79.58 - $108.72
Market Cap: 76.26B
Volatility: 19.4%
BB: Inside (8.2%)
MACD: -1.851 | -1.777 (Bearish)
MA: 50d: $95.76 | 200d: $96.29
P/C Vol Ratio: 2.84
Opt Dir: Strong Bearish   Short: 1.5% (2.4d)
P/E: 31.30
EPS: 2.88
1y Target Est: $109.84
Upside %: +21.9%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Feb 04, 2026
Signal Confidence: HOLD
ATR(14): $1.29 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $90.14
Current
Stop Loss: $87.56
-2.9%
Target: $95.30
+5.7%
Risk/Reward: 2.9% / 5.7% (1:2)
Day
$89.21$90.27
52W
$79.58$108.72
Bollinger Bands
$88.79$92.59$96.38
Width: 8.2% – Inside
Implied Move Β±2.9%
$87.93$92.35

GME ↓ (Y, F, Z, S) $20.61

β–Ό -0.51% (-0.10)
5D: β–² +0.56% (+0.11)
1M: β–Ό -10.37% (-2.39)
6M: β–Ό -22.99% (-6.16)
YTD: β–² +2.66% (+0.53)
1Y: β–Ό -37.19% (-12.20)
Volume: 1.9M
52W: $19.93 - $35.81
Market Cap: 9.24B
Volatility: 31.3%
BB: Inside (18.0%)
MACD: -0.442 | -0.300 (Bearish)
MA: 50d: $21.76 | 200d: $24.24
P/C Vol Ratio: 0.14
Opt Dir: Bullish   Short: 16.6% (12.8d)
P/E: 23.43
EPS: 0.88
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Mar 13, 2019
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Dec 09, 2025
Signal Confidence: HOLD
ATR(14): $0.59 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $20.61
Current
Stop Loss: $19.44
-5.7%
Target: $22.97
+11.4%
Risk/Reward: 5.7% / 11.4% (1:2)
Day
$20.61$20.87
52W
$19.93$35.81
Bollinger Bands
$19.70$21.65$23.59
Width: 18.0% – Inside
Implied Move Β±3.0%
$20.09$21.14

ARM β†˜ (Y, F, Z, S) $115.49

β–Ό -0.53% (-0.62)
5D: β–² +4.18% (+4.63)
1M: β–Ό -18.27% (-25.82)
6M: β–² +19.27% (+18.66)
YTD: β–² +5.65% (+6.18)
1Y: β–Ό -21.65% (-31.92)
Volume: 2.0M
52W: $80.00 - $183.16
Market Cap: 122.53B
Volatility: 44.6%
BB: Inside (38.0%)
MACD: -7.009 | -7.909 (Bullish)
MA: 50d: $137.36 | 200d: $137.39 ⚠ DEATH CROSS
P/C Vol Ratio: 0.82
Opt Dir: Bearish   Short: 10.1% (2.7d)
P/E: 148.06
EPS: 0.78
1y Target Est: $163.25
Upside %: +41.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 05, 2025
Signal Confidence: HOLD
ATR(14): $4.09 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $115.49
Current
Stop Loss: $107.31
-7.1%
Target: $131.86
+14.2%
Risk/Reward: 7.1% / 14.2% (1:2)
Day
$115.00$117.85
52W
$80.00$183.16
Bollinger Bands
$97.31$120.10$142.89
Width: 38.0% – Inside
Implied Move Β±4.1%
$111.49$119.49

AZO ↓ (Y, F, Z, S) $3248.55

β–Ό -0.60% (-19.75)
5D: β–Ό -4.42% (-150.30)
1M: β–Ό -15.02% (-574.11)
6M: β–Ό -8.98% (-320.69)
YTD: β–Ό -4.21% (-142.95)
1Y: β–Ό -1.36% (-44.91)
Volume: 76.6K
52W: $3162.00 - $4388.11
Market Cap: 54.03B
Volatility: 24.8%
BB: Inside (12.2%)
MACD: -114.308 | -106.924 (Bearish)
MA: 50d: $3650.30 | 200d: $3814.57
P/C Vol Ratio: 1.35
Opt Dir: Strong Bearish   Short: 2.1% (2.2d)
P/E: 22.64
EPS: 143.48
1y Target Est: $4318.30
Upside %: +32.9%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Dec 09, 2025
Signal Confidence: HOLD
ATR(14): $60.65 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $3248.55
Current
Stop Loss: $3127.25
-3.7%
Target: $3491.16
+7.5%
Risk/Reward: 3.7% / 7.5% (1:2)
Day
$3213.34$3255.11
52W
$3162.00$4388.11
Bollinger Bands
$3218.09$3426.35$3634.62
Width: 12.2% – Inside
Implied Move Β±3.4%
$3154.93$3342.17

SPCE ↓ (Y, F, Z, S) $3.23

β–Ό -0.61% (-0.02)
5D: β–Ό -2.12% (-0.07)
1M: β–Ό -25.06% (-1.08)
6M: β–² +30.77% (+0.76)
YTD: β–² +0.63% (+0.02)
1Y: β–Ό -49.77% (-3.20)
Volume: 3.6M
52W: $2.18 - $6.74
Market Cap: 204.14M
Volatility: 81.8%
BB: Inside (40.1%)
MACD: -0.126 | -0.118 (Bearish)
MA: 50d: $3.61 | 200d: $3.40
P/C Vol Ratio: 0.03
Opt Dir: Bearish   Short: 23.1% (2.7d)
P/E: -0.77
EPS: -6.84
1y Target Est: $4.12
Upside %: +27.6%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 13, 2025
Signal Confidence: HOLD
ATR(14): $0.25 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $3.23
Current
Stop Loss: $2.72
-15.7%
Target: $4.24
+31.3%
Risk/Reward: 15.7% / 31.3% (1:2)
Day
$3.16$3.36
52W
$2.18$6.74
Bollinger Bands
$2.72$3.40$4.08
Width: 40.1% – Inside
Implied Move Β±8.7%
$2.99$3.47

GOOGL β†— (Y, F, Z, S) $314.44

β–Ό -0.66% (-2.10)
5D: β–² +0.19% (+0.59)
1M: β–Ό -2.06% (-6.62)
6M: β–² +113.52% (+167.18)
YTD: β–² +0.46% (+1.44)
1Y: β–² +60.35% (+118.34)
Volume: 15.7M
52W: $140.14 - $328.62
Market Cap: 3.81T
Volatility: 29.8%
BB: Inside (6.9%)
MACD: +3.977 | +4.600 (Bearish)
MA: 50d: $300.30 | 200d: $219.36
P/C Vol Ratio: 0.59
Opt Dir: Bearish   Short: 1.4% (3.3d)
P/E: 31.04
EPS: 10.13
1y Target Est: $332.47
Upside %: +5.7%
Div: $0.84 (0.27%)
Annual Dividend: $0.84
Ex-Dividend Date: Dec 07, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.08%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $6.20 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $314.44
Current
Stop Loss: $302.04
-3.9%
Target: $339.25
+7.9%
Risk/Reward: 3.9% / 7.9% (1:2)
Day
$311.81$320.94
52W
$140.14$328.62
Bollinger Bands
$300.82$311.61$322.39
Width: 6.9% – Inside
Implied Move Β±2.2%
$308.59$320.29

INSM ↓ (Y, F, Z, S) $174.00

β–Ό -0.68% (-1.20)
5D: β–Ό -0.05% (-0.09)
1M: β–Ό -14.71% (-30.00)
6M: β–² +150.32% (+104.49)
YTD: β–Ό -0.02% (-0.04)
1Y: β–² +161.18% (+107.38)
Volume: 648.3K
52W: $60.40 - $212.75
Market Cap: 37.11B
Volatility: 55.0%
BB: Inside (24.0%)
MACD: -5.077 | -4.003 (Bearish)
MA: 50d: $189.34 | 200d: $126.66
P/C Vol Ratio: 3.89
Opt Dir: Bearish   Short: 4.6% (2.5d)
P/E: -49.50
EPS: -6.19
1y Target Est: $215.11
Upside %: +23.6%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $7.89 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $174.00
Current
Stop Loss: $158.22
-9.1%
Target: $205.55
+18.1%
Risk/Reward: 9.1% / 18.1% (1:2)
Day
$171.00$175.21
52W
$60.40$212.75
Bollinger Bands
$161.40$183.44$205.49
Width: 24.0% – Inside
Implied Move Β±10.4%
$158.58$189.42

NFLX β†˜ (Y, F, Z, S) $90.83

β–Ό -0.69% (-0.63)
5D: β–Ό -3.15% (-2.95)
1M: β–Ό -9.39% (-9.41)
6M: β–Ό -8.06% (-7.96)
YTD: β–Ό -3.13% (-2.93)
1Y: β–² +3.01% (+2.65)
Volume: 31.9M
52W: $82.11 - $134.12
Market Cap: 384.88B
Volatility: 35.2%
BB: Inside (6.6%)
MACD: -3.372 | -3.642 (Bullish)
MA: 50d: $102.99 | 200d: $113.35
P/C Vol Ratio: 0.56
Opt Dir: Bearish   Short: 1.8% (2.2d)
P/E: 37.85
EPS: 2.40
1y Target Est: $126.19
Upside %: +38.9%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Jan 20, 2026
Signal Confidence: HOLD
ATR(14): $1.84 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $90.83
Current
Stop Loss: $87.15
-4.1%
Target: $98.19
+8.1%
Risk/Reward: 4.1% / 8.1% (1:2)
Day
$89.81$91.58
52W
$82.11$134.12
Bollinger Bands
$90.74$93.84$96.94
Width: 6.6% – Inside
Implied Move Β±2.3%
$89.05$92.62

PEP ↓ (Y, F, Z, S) $138.93

β–Ό -0.71% (-0.99)
5D: β–Ό -3.63% (-5.23)
1M: β–Ό -4.20% (-6.09)
6M: β–² +1.05% (+1.44)
YTD: β–Ό -3.20% (-4.59)
1Y: β–Ό -1.22% (-1.72)
Volume: 3.3M
52W: $123.93 - $155.29
Market Cap: 190.21B
Volatility: 16.1%
BB: Inside (10.1%)
MACD: -1.474 | -0.530 (Bearish)
MA: 50d: $145.45 | 200d: $139.37
P/C Vol Ratio: 1.22
Opt Dir: Strong Bearish   Short: 1.6% (2.9d)
P/E: 26.41
EPS: 5.26
1y Target Est: $155.91
Upside %: +12.2%
Div: $5.69 (4.07%)
Annual Dividend: $5.69
Ex-Dividend Date: Dec 04, 2025
Payout Frequency: Quarterly
Payout Ratio: 1.06%
Dividend Growth: N/A
Earnings: Feb 03, 2026
Signal Confidence: HOLD
ATR(14): $1.78 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $138.93
Current
Stop Loss: $135.38
-2.6%
Target: $146.03
+5.1%
Risk/Reward: 2.6% / 5.1% (1:2)
Day
$138.70$140.06
52W
$123.93$155.29
Bollinger Bands
$138.67$146.01$153.34
Width: 10.1% – Inside
Implied Move Β±1.4%
$137.33$140.53

ZS β†˜ (Y, F, Z, S) $221.08

β–Ό -0.75% (-1.68)
5D: β–Ό -2.79% (-6.34)
1M: β–Ό -8.90% (-21.60)
6M: β–² +14.14% (+27.38)
YTD: β–Ό -1.71% (-3.84)
1Y: β–² +17.15% (+32.37)
Volume: 641.8K
52W: $164.78 - $336.99
Market Cap: 35.26B
Volatility: 38.8%
BB: Inside (12.5%)
MACD: -11.925 | -13.301 (Bullish)
MA: 50d: $270.29 | 200d: $269.45
P/C Vol Ratio: 0.70
Opt Dir: Bearish   Short: 6.2% (4.7d)
P/E: 49.30
EPS: -0.27
1y Target Est: $324.44
Upside %: +46.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Mar 05, 2026
Signal Confidence: HOLD
ATR(14): $4.94 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $221.08
Current
Stop Loss: $211.19
-4.5%
Target: $240.86
+8.9%
Risk/Reward: 4.5% / 8.9% (1:2)
Day
$218.98$223.43
52W
$164.78$336.99
Bollinger Bands
$216.93$231.45$245.97
Width: 12.5% – Inside
Implied Move Β±2.6%
$216.16$226.00

GOOG β†— (Y, F, Z, S) $314.84

β–Ό -0.78% (-2.48)
5D: β–² +0.09% (+0.29)
1M: β–Ό -2.19% (-7.04)
6M: β–² +110.67% (+165.39)
YTD: β–² +0.33% (+1.04)
1Y: β–² +59.66% (+117.65)
Volume: 9.7M
52W: $142.27 - $328.46
Market Cap: 3.80T
Volatility: 29.1%
BB: Inside (6.7%)
MACD: +3.952 | +4.693 (Bearish)
MA: 50d: $301.01 | 200d: $220.39
P/C Vol Ratio: 0.52
Opt Dir: Bearish   Short: N/A (3.5d)
P/E: 31.11
EPS: 10.12
1y Target Est: $328.21
Upside %: +4.2%
Div: $0.84 (0.26%)
Annual Dividend: $0.84
Ex-Dividend Date: Dec 07, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.08%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $6.16 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $314.84
Current
Stop Loss: $302.51
-3.9%
Target: $339.49
+7.8%
Risk/Reward: 3.9% / 7.8% (1:2)
Day
$312.34$321.56
52W
$142.27$328.46
Bollinger Bands
$302.22$312.64$323.05
Width: 6.7% – Inside
Implied Move Β±2.0%
$309.39$320.29

CEG ↓ (Y, F, Z, S) $352.13

β–Ό -0.79% (-2.81)
5D: β–Ό -1.40% (-4.99)
1M: β–Ό -2.14% (-7.69)
6M: β–² +83.50% (+160.23)
YTD: β–Ό -0.32% (-1.14)
1Y: β–² +33.99% (+89.32)
Volume: 961.0K
52W: $160.75 - $412.23
Market Cap: 110.01B
Volatility: 47.7%
BB: Inside (8.2%)
MACD: -0.513 | +0.018 (Bearish)
MA: 50d: $360.20 | 200d: $314.00
P/C Vol Ratio: 1.98
Opt Dir: Strong Bearish   Short: 2.3% (3.3d)
P/E: 40.34
EPS: 8.73
1y Target Est: $403.30
Upside %: +14.5%
Div: $1.55 (0.44%)
Annual Dividend: $1.55
Ex-Dividend Date: Nov 16, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.17%
Dividend Growth: N/A
Earnings: Nov 07, 2025
Signal Confidence: HOLD
ATR(14): $15.51 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $352.13
Current
Stop Loss: $321.11
-8.8%
Target: $414.17
+17.6%
Risk/Reward: 8.8% / 17.6% (1:2)
Day
$346.74$359.75
52W
$160.75$412.23
Bollinger Bands
$344.11$358.76$373.41
Width: 8.2% – Inside
Implied Move Β±4.5%
$338.58$365.68

VRT β†— (Y, F, Z, S) $172.51

β–Ό -0.82% (-1.43)
5D: β–² +4.97% (+8.18)
1M: β–Ό -8.73% (-16.51)
6M: β–² +155.57% (+105.01)
YTD: β–² +6.48% (+10.51)
1Y: β–² +28.85% (+38.63)
Volume: 5.6M
52W: $53.55 - $202.37
Market Cap: 65.96B
Volatility: 57.1%
BB: Inside (22.0%)
MACD: -0.628 | -1.931 (Bullish)
MA: 50d: $174.60 | 200d: $133.82
P/C Vol Ratio: 0.73
Opt Dir: Bearish   Short: 2.7% (2.2d)
P/E: 65.35
EPS: 2.64
1y Target Est: $198.45
Upside %: +15.0%
Div: $0.25 (0.14%)
Annual Dividend: $0.25
Ex-Dividend Date: Nov 24, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.06%
Dividend Growth: N/A
Earnings: Oct 22, 2025
Signal Confidence: HOLD
ATR(14): $7.72 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $172.51
Current
Stop Loss: $157.08
-8.9%
Target: $203.39
+17.9%
Risk/Reward: 8.9% / 17.9% (1:2)
Day
$162.21$173.13
52W
$53.55$202.37
Bollinger Bands
$149.21$167.66$186.11
Width: 22.0% – Inside
Implied Move Β±5.4%
$164.61$180.42

TREE β†— (Y, F, Z, S) $54.00

β–Ό -0.83% (-0.45)
5D: β–² +1.33% (+0.71)
1M: β–Ό -2.74% (-1.52)
6M: β–² +26.94% (+11.46)
YTD: β–² +1.71% (+0.91)
1Y: β–² +35.44% (+14.13)
Volume: 38.2K
52W: $33.50 - $77.35
Market Cap: 738.22M
Volatility: 51.4%
BB: Inside (11.7%)
MACD: -0.349 | -0.530 (Bullish)
MA: 50d: $54.76 | 200d: $51.57
P/C Vol Ratio: 1.05
Opt Dir: Bearish   Short: 6.2% (5.7d)
P/E: 50.94
EPS: 1.06
1y Target Est: $81.33
Upside %: +50.6%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Dec 12, 2012
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $1.80 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $54.00
Current
Stop Loss: $50.40
-6.7%
Target: $61.19
+13.3%
Risk/Reward: 6.7% / 13.3% (1:2)
Day
$53.24$54.22
52W
$33.50$77.35
Bollinger Bands
$50.28$53.39$56.51
Width: 11.7% – Inside
Implied Move Β±6.6%
$50.99$57.01

MRVL β†— (Y, F, Z, S) $89.42

β–Ό -0.90% (-0.81)
5D: β–² +3.07% (+2.66)
1M: β–Ό -9.59% (-9.49)
6M: β–² +81.35% (+40.11)
YTD: β–² +5.22% (+4.44)
1Y: β–Ό -24.63% (-29.22)
Volume: 20.0M
52W: $46.97 - $127.15
Market Cap: 77.09B
Volatility: 54.6%
BB: Inside (13.5%)
MACD: +0.154 | -0.253 (Bullish)
MA: 50d: $87.91 | 200d: $74.55
P/C Vol Ratio: 0.35
Opt Dir: Bearish   Short: 5.1% (3.1d)
P/E: 31.49
EPS: 2.84
1y Target Est: $117.20
Upside %: +31.1%
Div: $0.24 (0.27%)
Annual Dividend: $0.24
Ex-Dividend Date: Jan 08, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.08%
Dividend Growth: N/A
Earnings: Dec 02, 2025
Signal Confidence: HOLD
ATR(14): $3.45 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $89.42
Current
Stop Loss: $82.52
-7.7%
Target: $103.23
+15.4%
Risk/Reward: 7.7% / 15.4% (1:2)
Day
$87.32$94.20
52W
$46.97$127.15
Bollinger Bands
$81.02$86.88$92.75
Width: 13.5% – Inside
Implied Move Β±4.8%
$85.81$93.03

TMUS β†’ (Y, F, Z, S) $198.73

β–Ό -1.06% (-2.13)
5D: β–Ό -2.49% (-5.07)
1M: β–Ό -5.20% (-10.90)
6M: β–Ό -20.64% (-51.70)
YTD: β–Ό -2.13% (-4.31)
1Y: β–Ό -4.97% (-10.39)
Volume: 1.2M
52W: $194.01 - $273.15
Market Cap: 223.65B
Volatility: 21.6%
BB: Inside (6.0%)
MACD: -1.694 | -2.369 (Bullish)
MA: 50d: $205.43 | 200d: $231.45
P/C Vol Ratio: 0.58
Opt Dir: Bearish   Short: 3.5% (3.2d)
P/E: 19.14
EPS: 10.38
1y Target Est: $270.92
Upside %: +36.3%
Div: $4.08 (2.03%)
Annual Dividend: $4.08
Ex-Dividend Date: Feb 26, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.34%
Dividend Growth: N/A
Earnings: Feb 11, 2026
Signal Confidence: HOLD
ATR(14): $3.16 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $198.73
Current
Stop Loss: $192.40
-3.2%
Target: $211.37
+6.4%
Risk/Reward: 3.2% / 6.4% (1:2)
Day
$197.16$200.53
52W
$194.01$273.15
Bollinger Bands
$193.28$199.24$205.19
Width: 6.0% – Inside
Implied Move Β±1.9%
$195.45$202.00

ARMG β†˜ (Y, F, Z, S) $6.33

β–Ό -1.09% (-0.07)
5D: β–² +7.84% (+0.46)
1M: β–Ό -34.77% (-3.37)
6M: β–² +10.51% (+0.60)
YTD: β–² +11.05% (+0.63)
1Y: β–Ό -57.58% (-8.59)
Volume: 346.8K
52W: $4.09 - $24.69
AUM: 13.22M
Volatility: 89.4%
BB: Inside (82.0%)
MACD: -0.952 | -1.079 (Bullish)
MA: 50d: $9.43 | 200d: $10.46
P/C Vol Ratio: 0.16
Opt Dir: Bearish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.44 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $6.33
Current
Stop Loss: $5.46
-13.8%
Target: $8.08
+27.6%
Risk/Reward: 13.8% / 27.6% (1:2)
Day
$6.28$6.54
52W
$4.09$24.69
Bollinger Bands
$4.12$6.99$9.85
Width: 82.0% – Inside
Implied Move Β±18.6%
$5.33$7.33

🟠 TTD β†— (Y, F, Z, S) $39.65

β–Ό -1.14% (-0.46)
5D: β–² +4.02% (+1.53)
1M: β–Ό -0.99% (-0.40)
6M: β–Ό -16.63% (-7.91)
YTD: β–² +4.46% (+1.69)
1Y: β–Ό -68.67% (-86.93)
Volume: 4.8M
52W: $35.65 - $127.59
Market Cap: 19.38B
Volatility: 38.7%
BB: Inside (11.7%)
MACD: -0.557 | -1.081 (Bullish)
MA: 50d: $41.36 | 200d: $56.89
P/C Vol Ratio: 0.57
Opt Dir: Bearish   Short: 12.3% (3.7d)
P/E: 45.05
EPS: 0.88
1y Target Est: $61.58
Upside %: +55.3%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: MODERATE (69%)
ATR(14): $1.08 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - SELL)
Entry: $39.65
Current
Stop Loss: $37.49
-5.4%
Target: $43.97
+10.9%
Risk/Reward: 5.4% / 10.9% (1:2)
Day
$39.64$40.90
52W
$35.65$127.59
Bollinger Bands
$35.75$37.96$40.17
Width: 11.7% – Inside
Implied Move Β±3.6%
$38.43$40.88

KHC ↓ (Y, F, Z, S) $23.50

β–Ό -1.14% (-0.27)
5D: β–Ό -3.81% (-0.93)
1M: β–Ό -3.46% (-0.84)
6M: β–Ό -17.88% (-5.12)
YTD: β–Ό -3.10% (-0.75)
1Y: β–Ό -17.12% (-4.85)
Volume: 7.2M
52W: $23.33 - $31.87
Market Cap: 27.81B
Volatility: 18.9%
BB: Below Lower (5.5%)
MACD: -0.192 | -0.130 (Bearish)
MA: 50d: $24.43 | 200d: $25.97
P/C Vol Ratio: 0.68
Opt Dir: Bullish   Short: 6.6% (4.3d)
P/E: 9.34
EPS: -3.71
1y Target Est: $27.13
Upside %: +15.5%
Div: $1.60 (6.73%)
Annual Dividend: $1.60
Ex-Dividend Date: Nov 27, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.73%
Dividend Growth: N/A
Earnings: Oct 29, 2025
Signal Confidence: HOLD
ATR(14): $0.39 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $23.50
Current
Stop Loss: $22.71
-3.3%
Target: $25.07
+6.7%
Risk/Reward: 3.3% / 6.7% (1:2)
Day
$23.49$23.81
52W
$23.33$31.87
Bollinger Bands
$23.61$24.29$24.96
Width: 5.5% – Below Lower
Implied Move Β±1.8%
$23.14$23.86

TTWO ↑ (Y, F, Z, S) $254.10

β–Ό -1.25% (-3.21)
5D: β–Ό -1.48% (-3.81)
1M: β–² +2.51% (+6.22)
6M: β–² +23.86% (+48.94)
YTD: β–Ό -0.75% (-1.93)
1Y: β–² +34.46% (+65.12)
Volume: 240.1K
52W: $177.35 - $264.79
Market Cap: 46.95B
Volatility: 25.1%
BB: Inside (8.7%)
MACD: +2.801 | +2.097 (Bullish)
MA: 50d: $246.71 | 200d: $236.65
P/C Vol Ratio: 0.32
Opt Dir: Bullish   Short: 4.6% (6.1d)
P/E: 31.96
EPS: -22.77
1y Target Est: $277.40
Upside %: +9.2%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Feb 03, 2026
Signal Confidence: HOLD
ATR(14): $4.65 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $254.10
Current
Stop Loss: $244.79
-3.7%
Target: $272.72
+7.3%
Risk/Reward: 3.7% / 7.3% (1:2)
Day
$253.58$257.70
52W
$177.35$264.79
Bollinger Bands
$238.52$249.39$260.26
Width: 8.7% – Inside
Implied Move Β±2.0%
$249.76$258.45

BKNG β†’ (Y, F, Z, S) $5293.17

β–Ό -1.38% (-74.20)
5D: β–Ό -2.47% (-133.98)
1M: β–² +1.85% (+96.13)
6M: β–² +19.92% (+879.25)
YTD: β–Ό -1.16% (-62.16)
1Y: β–² +8.61% (+419.60)
Volume: 54.8K
52W: $4074.35 - $5818.24
Market Cap: 171.55B
Volatility: 29.1%
BB: Inside (6.3%)
MACD: +68.120 | +88.479 (Bearish)
MA: 50d: $5124.85 | 200d: $5247.12
P/C Vol Ratio: 0.71
Opt Dir: Bullish   Short: 2.2% (4.7d)
P/E: 34.48
EPS: 153.51
1y Target Est: $6208.22
Upside %: +17.3%
Div: $38.40 (0.72%)
Annual Dividend: $38.40
Ex-Dividend Date: Dec 04, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.24%
Dividend Growth: N/A
Earnings: Oct 28, 2025
Signal Confidence: HOLD
ATR(14): $88.19 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $5293.17
Current
Stop Loss: $5116.80
-3.3%
Target: $5645.93
+6.7%
Risk/Reward: 3.3% / 6.7% (1:2)
Day
$5271.02$5356.00
52W
$4074.35$5818.24
Bollinger Bands
$5189.71$5357.35$5524.99
Width: 6.3% – Inside
Implied Move Β±3.8%
$5123.26$5463.09

GGLL β†˜ (Y, F, Z, S) $97.64

β–Ό -1.44% (-1.43)
5D: β–² +0.10% (+0.10)
1M: β–Ό -5.16% (-5.31)
6M: β–² +299.20% (+73.18)
YTD: β–² +0.78% (+0.76)
1Y: β–² +108.50% (+50.81)
Volume: 2.6M
52W: $22.56 - $108.15
AUM: 1.15B
Volatility: 59.8%
BB: Inside (13.7%)
MACD: +1.883 | +2.203 (Bearish)
MA: 50d: $90.83 | 200d: $53.35
P/C Vol Ratio: 0.55
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 55.31
EPS: 1.77
1y Target Est: N/A
Upside %: N/A
Div: N/A (1.48%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $3.77 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $97.64
Current
Stop Loss: $90.09
-7.7%
Target: $112.73
+15.5%
Risk/Reward: 7.7% / 15.5% (1:2)
Day
$96.05$101.68
52W
$22.56$108.15
Bollinger Bands
$89.83$96.44$103.04
Width: 13.7% – Inside
Implied Move Β±5.6%
$93.01$102.27

XOP β†˜ (Y, F, Z, S) $125.65

β–Ό -1.45% (-1.85)
5D: β–Ό -1.39% (-1.78)
1M: β–Ό -7.40% (-10.04)
6M: β–² +18.06% (+19.22)
YTD: β–Ό -0.48% (-0.61)
1Y: β–Ό -4.68% (-6.17)
Volume: 1.6M
52W: $97.08 - $142.87
Market Cap: 8.86B
Volatility: 24.1%
BB: Inside (10.1%)
MACD: -0.967 | -0.985 (Bullish)
MA: 50d: $128.97 | 200d: $124.86
P/C Vol Ratio: 4.38
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 12.81
EPS: 9.81
1y Target Est: N/A
Upside %: N/A
Div: N/A (2.39%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.87 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $125.65
Current
Stop Loss: $119.92
-4.6%
Target: $137.13
+9.1%
Risk/Reward: 4.6% / 9.1% (1:2)
Day
$125.39$127.92
52W
$97.08$142.87
Bollinger Bands
$121.39$127.87$134.35
Width: 10.1% – Inside
Implied Move Β±2.1%
$123.45$127.86

PILL ↓ (Y, F, Z, S) $11.45

β–Ό -1.46% (-0.17)
5D: β–Ό -8.25% (-1.03)
1M: β–² +1.05% (+0.12)
6M: β–² +157.73% (+7.01)
YTD: β–Ό -6.91% (-0.85)
1Y: β–² +67.26% (+4.60)
Volume: 363.6K
52W: $3.59 - $13.33
AUM: 16.80M
Volatility: 60.7%
BB: Inside (16.4%)
MACD: +0.324 | +0.567 (Bearish)
MA: 50d: $10.70 | 200d: $7.37
P/C Vol Ratio: 3.53
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 31.94
EPS: 0.36
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.57%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.67 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $11.45
Current
Stop Loss: $10.12
-11.6%
Target: $14.11
+23.3%
Risk/Reward: 11.6% / 23.3% (1:2)
Day
$11.36$12.03
52W
$3.59$13.33
Bollinger Bands
$11.34$12.36$13.38
Width: 16.4% – Inside
Implied Move Β±16.2%
$9.88$13.02

🟠 TPL β†˜ (Y, F, Z, S) $292.99

β–Ό -1.53% (-4.55)
5D: β–² +0.11% (+0.31)
1M: β–Ό -4.98% (-15.37)
6M: β–Ό -29.27% (-121.25)
YTD: β–² +2.01% (+5.77)
1Y: β–Ό -27.90% (-113.39)
Volume: 175.5K
52W: $269.23 - $485.16
Market Cap: 20.20B
Volatility: 42.4%
BB: Inside (10.6%)
MACD: -1.746 | -2.552 (Bullish)
MA: 50d: $302.48 | 200d: $344.11
P/C Vol Ratio: 0.57
Opt Dir: Bearish   Short: 7.8% (12.0d)
P/E: 42.46
EPS: 6.90
1y Target Est: $280.83
Upside %: -4.1%
Div: $2.13 (0.72%)
Annual Dividend: $2.13
Ex-Dividend Date: Nov 30, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.31%
Dividend Growth: N/A
Earnings: Nov 05, 2025
Signal Confidence: MODERATE (56%)
ATR(14): $11.90 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - SELL)
Entry: $292.99
Current
Stop Loss: $269.18
-8.1%
Target: $340.61
+16.3%
Risk/Reward: 8.1% / 16.3% (1:2)
Day
$290.00$301.72
52W
$269.23$485.16
Bollinger Bands
$277.53$293.06$308.60
Width: 10.6% – Inside
Implied Move Β±6.4%
$277.10$308.88

T β†˜ (Y, F, Z, S) $24.30

β–Ό -1.66% (-0.41)
5D: β–Ό -2.06% (-0.51)
1M: β–Ό -3.88% (-0.98)
6M: β–Ό -5.78% (-1.49)
YTD: β–Ό -2.17% (-0.54)
1Y: β–² +12.34% (+2.67)
Volume: 29.6M
52W: $20.72 - $29.47
Market Cap: 173.75B
Volatility: 18.0%
BB: Inside (3.8%)
MACD: -0.158 | -0.203 (Bullish)
MA: 50d: $24.99 | 200d: $26.74
P/C Vol Ratio: 0.74
Opt Dir: Bullish   Short: 1.6% (3.6d)
P/E: 7.92
EPS: 3.07
1y Target Est: $29.86
Upside %: +22.9%
Div: $1.11 (4.49%)
Annual Dividend: $1.11
Ex-Dividend Date: Jan 11, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.36%
Dividend Growth: N/A
Earnings: Jan 28, 2026
Signal Confidence: HOLD
ATR(14): $0.33 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $24.30
Current
Stop Loss: $23.63
-2.7%
Target: $25.63
+5.5%
Risk/Reward: 2.7% / 5.5% (1:2)
Day
$23.87$24.53
52W
$20.72$29.47
Bollinger Bands
$24.02$24.49$24.96
Width: 3.8% – Inside
Implied Move Β±2.3%
$23.82$24.78

AAPL ↓ (Y, F, Z, S) $262.74

β–Ό -1.69% (-4.52)
5D: β–Ό -3.79% (-10.34)
1M: β–Ό -5.75% (-16.04)
6M: β–² +36.49% (+70.24)
YTD: β–Ό -3.35% (-9.12)
1Y: β–² +7.73% (+18.84)
Volume: 19.5M
52W: $168.63 - $288.62
Market Cap: 3.90T
Volatility: 16.8%
BB: Below Lower (5.6%)
MACD: -1.446 | -0.122 (Bearish)
MA: 50d: $273.01 | 200d: $232.21
P/C Vol Ratio: 0.50
Opt Dir: Bullish   Short: 0.8% (3.0d)
P/E: 35.22
EPS: 7.46
1y Target Est: $287.71
Upside %: +9.5%
Div: $1.04 (0.39%)
Annual Dividend: $1.04
Ex-Dividend Date: Nov 09, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.14%
Dividend Growth: N/A
Earnings: Jan 29, 2026
Signal Confidence: HOLD
ATR(14): $4.07 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $262.74
Current
Stop Loss: $254.60
-3.1%
Target: $279.02
+6.2%
Risk/Reward: 3.1% / 6.2% (1:2)
Day
$262.21$267.01
52W
$168.63$288.62
Bollinger Bands
$265.65$273.34$281.03
Width: 5.6% – Below Lower
Implied Move Β±1.7%
$258.85$266.63

SMCI β†˜ (Y, F, Z, S) $29.53

β–Ό -1.80% (-0.54)
5D: β–Ό -0.40% (-0.12)
1M: β–Ό -14.87% (-5.16)
6M: β–² +0.07% (+0.02)
YTD: β–² +0.89% (+0.26)
1Y: β–Ό -18.98% (-6.92)
Volume: 14.5M
52W: $25.71 - $66.44
Market Cap: 17.63B
Volatility: 58.5%
BB: Inside (24.8%)
MACD: -1.733 | -1.990 (Bullish)
MA: 50d: $36.23 | 200d: $42.18
P/C Vol Ratio: 0.37
Opt Dir: Bearish   Short: 19.7% (3.8d)
P/E: 23.25
EPS: 1.27
1y Target Est: $48.53
Upside %: +64.3%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $1.26 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $29.53
Current
Stop Loss: $27.00
-8.6%
Target: $34.59
+17.1%
Risk/Reward: 8.6% / 17.1% (1:2)
Day
$29.46$30.66
52W
$25.71$66.44
Bollinger Bands
$27.48$31.38$35.28
Width: 24.8% – Inside
Implied Move Β±5.0%
$28.27$30.79

FANG ↓ (Y, F, Z, S) $144.33

β–Ό -1.81% (-2.66)
5D: β–Ό -4.58% (-6.92)
1M: β–Ό -9.00% (-14.27)
6M: β–² +11.36% (+14.73)
YTD: β–Ό -3.99% (-6.00)
1Y: β–Ό -12.50% (-20.63)
Volume: 899.8K
52W: $111.64 - $175.92
Market Cap: 41.78B
Volatility: 27.4%
BB: Inside (12.4%)
MACD: -0.798 | -0.076 (Bearish)
MA: 50d: $148.60 | 200d: $142.05
P/C Vol Ratio: 13.25
Opt Dir: Strong Bearish   Short: 4.9% (5.6d)
P/E: 10.14
EPS: 14.24
1y Target Est: $179.10
Upside %: +24.1%
Div: $4.00 (2.72%)
Annual Dividend: $4.00
Ex-Dividend Date: Nov 12, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.27%
Dividend Growth: N/A
Earnings: Nov 03, 2025
Signal Confidence: HOLD
ATR(14): $4.75 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $144.33
Current
Stop Loss: $134.84
-6.6%
Target: $163.31
+13.2%
Risk/Reward: 6.6% / 13.2% (1:2)
Day
$143.84$148.01
52W
$111.64$175.92
Bollinger Bands
$141.92$151.28$160.64
Width: 12.4% – Inside
Implied Move Β±42.0%
$92.77$195.89

CCEP ↓ (Y, F, Z, S) $85.72

β–Ό -2.10% (-1.83)
5D: β–Ό -6.41% (-5.88)
1M: β–Ό -5.43% (-4.93)
6M: β–Ό -0.55% (-0.47)
YTD: β–Ό -5.49% (-4.97)
1Y: β–² +16.24% (+11.98)
Volume: 670.3K
52W: $71.51 - $99.10
Market Cap: 39.12B
Volatility: 19.4%
BB: Below Lower (7.7%)
MACD: -0.572 | +0.080 (Bearish)
MA: 50d: $90.09 | 200d: $89.32
P/C Vol Ratio: 1.00
Opt Dir: Bearish   Short: 4.2% (4.8d)
P/E: 21.92
EPS: 3.91
1y Target Est: $97.04
Upside %: +13.2%
Div: $2.35 (2.69%)
Annual Dividend: $2.35
Ex-Dividend Date: Nov 12, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.60%
Dividend Growth: N/A
Earnings: Aug 06, 2025
Signal Confidence: HOLD
ATR(14): $1.26 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $85.72
Current
Stop Loss: $83.21
-2.9%
Target: $90.75
+5.9%
Risk/Reward: 2.9% / 5.9% (1:2)
Day
$85.68$86.92
52W
$71.51$99.10
Bollinger Bands
$87.07$90.57$94.07
Width: 7.7% – Below Lower
Implied Move Β±4.1%
$82.75$88.70

DJT ↑ (Y, F, Z, S) $14.08

β–Ό -2.15% (-0.31)
5D: β–² +12.01% (+1.51)
1M: β–² +23.94% (+2.72)
6M: β–Ό -37.39% (-8.41)
YTD: β–² +6.34% (+0.84)
1Y: β–Ό -61.07% (-22.09)
Volume: 6.4M
52W: $10.18 - $43.46
Market Cap: 3.94B
Volatility: 104.0%
BB: Inside (55.1%)
MACD: +0.475 | +0.325 (Bullish)
MA: 50d: $12.69 | 200d: $17.72
P/C Vol Ratio: 0.23
Opt Dir: Bullish   Short: 7.4% (0.6d)
P/E: N/A
EPS: -0.42
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 07, 2025
Signal Confidence: HOLD
ATR(14): $1.32 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $14.08
Current
Stop Loss: $11.44
-18.8%
Target: $19.37
+37.5%
Risk/Reward: 18.8% / 37.5% (1:2)
Day
$14.05$14.60
52W
$10.18$43.46
Bollinger Bands
$9.26$12.79$16.31
Width: 55.1% – Inside
Implied Move Β±6.0%
$13.37$14.79

CRWV β†˜ (Y, F, Z, S) $75.14

β–Ό -2.24% (-1.72)
5D: β–² +1.68% (+1.24)
1M: β–Ό -14.90% (-13.16)
6M: β–² +112.17% (+39.73)
YTD: β–² +4.93% (+3.53)
1Y: β–² +87.85% (+35.14)
Volume: 20.1M
52W: $33.51 - $187.00
Market Cap: 37.44B
Volatility: 91.9%
BB: Inside (36.6%)
MACD: -3.103 | -3.895 (Bullish)
MA: 50d: $88.71 | 200d: $nan
P/C Vol Ratio: 0.43
Opt Dir: Bearish   Short: 19.3% (1.9d)
P/E: -278.64
EPS: -1.66
1y Target Est: $126.62
Upside %: +68.5%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 10, 2025
Signal Confidence: HOLD
ATR(14): $5.76 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $75.14
Current
Stop Loss: $63.62
-15.3%
Target: $98.18
+30.7%
Risk/Reward: 15.3% / 30.7% (1:2)
Day
$73.88$78.80
52W
$33.51$187.00
Bollinger Bands
$63.72$78.01$92.30
Width: 36.6% – Inside
Implied Move Β±7.6%
$70.26$80.02

PM ↓ (Y, F, Z, S) $156.27

β–Ό -2.25% (-3.59)
5D: β–Ό -3.51% (-5.68)
1M: β–² +6.69% (+9.80)
6M: β–Ό -1.11% (-1.76)
YTD: β–Ό -2.57% (-4.13)
1Y: β–² +33.71% (+39.40)
Volume: 1.8M
52W: $112.16 - $181.91
Market Cap: 243.26B
Volatility: 24.1%
BB: Inside (12.3%)
MACD: +1.911 | +1.943 (Bearish)
MA: 50d: $153.29 | 200d: $161.52
P/C Vol Ratio: 0.20
Opt Dir: Bearish   Short: 1.1% (3.1d)
P/E: 22.32
EPS: 7.00
1y Target Est: $182.88
Upside %: +17.0%
Div: $5.88 (3.68%)
Annual Dividend: $5.88
Ex-Dividend Date: Dec 25, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.79%
Dividend Growth: N/A
Earnings: Oct 21, 2025
Signal Confidence: HOLD
ATR(14): $2.77 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $156.27
Current
Stop Loss: $150.74
-3.5%
Target: $167.33
+7.1%
Risk/Reward: 3.5% / 7.1% (1:2)
Day
$156.20$160.20
52W
$112.16$181.91
Bollinger Bands
$146.84$156.50$166.16
Width: 12.3% – Inside
Implied Move Β±2.1%
$153.51$159.03

XOM ↑ (Y, F, Z, S) $122.50

β–Ό -2.28% (-2.86)
5D: β–² +1.25% (+1.51)
1M: β–² +5.11% (+5.96)
6M: β–² +19.48% (+19.97)
YTD: β–² +1.79% (+2.16)
1Y: β–² +17.87% (+18.57)
Volume: 10.3M
52W: $95.18 - $125.93
Market Cap: 522.25B
Volatility: 18.5%
BB: Inside (8.4%)
MACD: +1.669 | +1.165 (Bullish)
MA: 50d: $117.21 | 200d: $110.31
P/C Vol Ratio: 1.33
Opt Dir: Bearish   Short: 1.2% (2.8d)
P/E: 17.81
EPS: 6.88
1y Target Est: $131.32
Upside %: +7.2%
Div: $4.12 (3.29%)
Annual Dividend: $4.12
Ex-Dividend Date: Nov 13, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.58%
Dividend Growth: N/A
Earnings: Oct 31, 2025
Signal Confidence: HOLD
ATR(14): $2.15 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $122.50
Current
Stop Loss: $118.20
-3.5%
Target: $131.09
+7.0%
Risk/Reward: 3.5% / 7.0% (1:2)
Day
$122.26$125.80
52W
$95.18$125.93
Bollinger Bands
$114.17$119.17$124.18
Width: 8.4% – Inside
Implied Move Β±1.8%
$120.64$124.36

XLE ↑ (Y, F, Z, S) $45.72

β–Ό -2.50% (-1.17)
5D: β–² +1.69% (+0.76)
1M: β–² +0.41% (+0.19)
6M: β–² +18.13% (+7.02)
YTD: β–² +2.26% (+1.01)
1Y: β–² +8.53% (+3.59)
Volume: 41.8M
52W: $36.32 - $47.32
Market Cap: 8.52B
Volatility: 18.8%
BB: Inside (7.4%)
MACD: +0.280 | +0.099 (Bullish)
MA: 50d: $44.58 | 200d: $42.81
P/C Vol Ratio: 0.48
Opt Dir: Bullish   Short: N/A (N/A)
P/E: 17.98
EPS: 2.54
1y Target Est: N/A
Upside %: N/A
Div: N/A (3.19%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.81 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $45.72
Current
Stop Loss: $44.10
-3.5%
Target: $48.96
+7.1%
Risk/Reward: 3.5% / 7.1% (1:2)
Day
$45.66$47.03
52W
$36.32$47.32
Bollinger Bands
$43.18$44.84$46.50
Width: 7.4% – Inside
Implied Move Β±1.7%
$45.07$46.37

FICO ↓ (Y, F, Z, S) $1609.32

β–Ό -2.67% (-44.16)
5D: β–Ό -7.81% (-136.43)
1M: β–Ό -10.52% (-189.21)
6M: β–Ό -11.38% (-206.76)
YTD: β–Ό -4.81% (-81.30)
1Y: β–Ό -18.23% (-358.69)
Volume: 169.8K
52W: $1300.00 - $2217.60
Market Cap: 38.63B
Volatility: 33.0%
BB: Below Lower (13.4%)
MACD: -24.315 | -5.731 (Bearish)
MA: 50d: $1731.60 | 200d: $1704.24
P/C Vol Ratio: 1.55
Opt Dir: Strong Bearish   Short: 5.9% (5.1d)
P/E: 60.46
EPS: 26.62
1y Target Est: $2023.18
Upside %: +25.7%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Feb 28, 2017
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 05, 2025
Signal Confidence: HOLD
ATR(14): $48.05 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $1609.32
Current
Stop Loss: $1513.23
-6.0%
Target: $1801.51
+11.9%
Risk/Reward: 6.0% / 11.9% (1:2)
Day
$1573.29$1636.85
52W
$1300.00$2217.60
Bollinger Bands
$1626.54$1743.33$1860.12
Width: 13.4% – Below Lower
Implied Move Β±5.0%
$1540.30$1678.34

LB ↓ (Y, F, Z, S) $45.35

β–Ό -2.82% (-1.31)
5D: β–Ό -9.71% (-4.88)
1M: β–Ό -23.89% (-14.24)
6M: β–Ό -30.33% (-19.74)
YTD: β–Ό -7.44% (-3.65)
1Y: β–Ό -37.73% (-27.47)
Volume: 287.5K
52W: $45.12 - $87.17
Market Cap: 3.61B
Volatility: 73.1%
BB: Below Lower (25.4%)
MACD: -3.000 | -2.484 (Bearish)
MA: 50d: $58.60 | 200d: $61.78
P/C Vol Ratio: 0.40
Opt Dir: Bearish   Short: 12.9% (7.2d)
P/E: 51.53
EPS: 0.88
1y Target Est: $74.25
Upside %: +63.7%
Div: $0.40 (0.86%)
Annual Dividend: $0.40
Ex-Dividend Date: Dec 03, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.45%
Dividend Growth: N/A
Earnings: Nov 12, 2025
Signal Confidence: HOLD
ATR(14): $2.32 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $45.35
Current
Stop Loss: $40.71
-10.2%
Target: $54.62
+20.5%
Risk/Reward: 10.2% / 20.5% (1:2)
Day
$45.12$46.65
52W
$45.12$87.17
Bollinger Bands
$45.66$52.31$58.97
Width: 25.4% – Below Lower
Implied Move Β±8.2%
$42.17$48.52

COIN β†’ (Y, F, Z, S) $247.73

β–Ό -2.82% (-7.19)
5D: β–² +6.96% (+16.13)
1M: β–Ό -8.16% (-22.00)
6M: β–² +41.56% (+72.73)
YTD: β–² +9.55% (+21.59)
1Y: β–Ό -13.91% (-40.03)
Volume: 5.3M
52W: $142.58 - $444.65
Market Cap: 66.80B
Volatility: 60.9%
BB: Inside (24.7%)
MACD: -9.708 | -11.820 (Bullish)
MA: 50d: $275.84 | 200d: $286.65
P/C Vol Ratio: 0.50
Opt Dir: Bearish   Short: 8.0% (2.1d)
P/E: 21.41
EPS: 11.57
1y Target Est: $360.64
Upside %: +45.6%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $10.32 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $247.73
Current
Stop Loss: $227.09
-8.3%
Target: $289.01
+16.7%
Risk/Reward: 8.3% / 16.7% (1:2)
Day
$245.84$257.39
52W
$142.58$444.65
Bollinger Bands
$218.72$249.61$280.50
Width: 24.7% – Inside
Implied Move Β±4.1%
$238.99$256.46

CMCSA β†’ (Y, F, Z, S) $27.33

β–Ό -2.83% (-0.80)
5D: β–Ό -2.68% (-0.75)
1M: β–² +6.80% (+1.74)
6M: β–Ό -11.47% (-3.54)
YTD: β–Ό -2.42% (-0.68)
1Y: β–Ό -19.26% (-6.52)
Volume: 24.6M
52W: $24.13 - $34.97
Market Cap: 107.73B
Volatility: 28.3%
BB: Inside (16.6%)
MACD: +0.476 | +0.475 (Bullish)
MA: 50d: $26.33 | 200d: $29.95
P/C Vol Ratio: 0.47
Opt Dir: Bullish   Short: 1.5% (1.7d)
P/E: 4.54
EPS: 6.02
1y Target Est: $34.01
Upside %: +24.4%
Div: $1.32 (4.69%)
Annual Dividend: $1.32
Ex-Dividend Date: Jan 13, 2026
Payout Frequency: Quarterly
Payout Ratio: 0.22%
Dividend Growth: N/A
Earnings: Jan 29, 2026
Signal Confidence: HOLD
ATR(14): $0.70 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $27.33
Current
Stop Loss: $25.93
-5.1%
Target: $30.13
+10.2%
Risk/Reward: 5.1% / 10.2% (1:2)
Day
$27.28$27.94
52W
$24.13$34.97
Bollinger Bands
$24.95$27.20$29.45
Width: 16.6% – Inside
Implied Move Β±8.1%
$25.46$29.21

GPRO ↓ (Y, F, Z, S) $1.46

β–Ό -3.00% (-0.04)
5D: β–Ό -1.02% (-0.01)
1M: β–Ό -20.49% (-0.38)
6M: β–² +194.53% (+0.96)
YTD: β–² +3.19% (+0.05)
1Y: β–² +26.52% (+0.31)
Volume: 1.4M
52W: $0.40 - $3.05
Market Cap: 232.40M
Volatility: 69.3%
BB: Inside (33.5%)
MACD: -0.070 | -0.060 (Bearish)
MA: 50d: $1.67 | 200d: $1.31
P/C Vol Ratio: 6.68
Opt Dir: Bearish   Short: 14.4% (7.9d)
P/E: 29.10
EPS: -0.76
1y Target Est: $1.30
Upside %: -10.7%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 06, 2025
Signal Confidence: HOLD
ATR(14): $0.08 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $1.46
Current
Stop Loss: $1.30
-10.4%
Target: $1.76
+20.7%
Risk/Reward: 10.4% / 20.7% (1:2)
Day
$1.43$1.51
52W
$0.40$3.05
Bollinger Bands
$1.33$1.60$1.87
Width: 33.5% – Inside
Implied Move Β±12.4%
$1.30$1.61

AMD β†˜ (Y, F, Z, S) $214.26

β–Ό -3.09% (-6.82)
5D: β–Ό -0.50% (-1.08)
1M: β–Ό -1.70% (-3.71)
6M: β–² +150.41% (+128.70)
YTD: β–² +0.04% (+0.10)
1Y: β–² +65.38% (+84.71)
Volume: 25.0M
52W: $76.48 - $267.08
Market Cap: 348.82B
Volatility: 55.3%
BB: Inside (12.5%)
MACD: -0.839 | -2.109 (Bullish)
MA: 50d: $227.03 | 200d: $164.34
P/C Vol Ratio: 0.61
Opt Dir: Bearish   Short: 2.2% (1.4d)
P/E: 112.77
EPS: 1.90
1y Target Est: $283.89
Upside %: +32.5%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Apr 26, 1995
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 04, 2025
Signal Confidence: HOLD
ATR(14): $7.91 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $214.26
Current
Stop Loss: $198.43
-7.4%
Target: $245.90
+14.8%
Risk/Reward: 7.4% / 14.8% (1:2)
Day
$211.37$222.92
52W
$76.48$267.08
Bollinger Bands
$201.04$214.48$227.91
Width: 12.5% – Inside
Implied Move Β±3.9%
$207.07$221.44

LAYS β†˜ (Y, F, Z, S) $45.82

β–Ό -3.20% (-1.51)
5D: β–Ό -0.32% (-0.15)
1M: β–Ό -0.39% (-0.18)
6M: β–² +306.40% (+34.54)
YTD: β–² +0.08% (+0.04)
1Y: β–² +181.84% (+29.56)
Volume: 843
52W: $10.70 - $67.45
AUM: 5.05M
Volatility: 80.8%
BB: Inside (22.1%)
MACD: -0.178 | -0.672 (Bullish)
MA: 50d: $49.66 | 200d: $34.16
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $2.34 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $45.82
Current
Stop Loss: $41.13
-10.2%
Target: $55.19
+20.5%
Risk/Reward: 10.2% / 20.5% (1:2)
Day
$45.82$47.37
52W
$10.70$67.45
Bollinger Bands
$40.21$45.20$50.20
Width: 22.1% – Inside

HOOD β†˜ (Y, F, Z, S) $119.28

β–Ό -3.21% (-3.96)
5D: β–² +3.32% (+3.83)
1M: β–Ό -9.60% (-12.67)
6M: β–² +199.32% (+79.43)
YTD: β–² +5.46% (+6.18)
1Y: β–² +179.28% (+76.57)
Volume: 9.6M
52W: $29.66 - $153.86
Market Cap: 107.26B
Volatility: 69.4%
BB: Inside (22.9%)
MACD: -2.256 | -2.436 (Bullish)
MA: 50d: $126.31 | 200d: $98.21
P/C Vol Ratio: 0.43
Opt Dir: Bearish   Short: 5.3% (2.3d)
P/E: 49.70
EPS: 2.40
1y Target Est: $150.90
Upside %: +26.5%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Feb 10, 2026
Signal Confidence: HOLD
ATR(14): $5.19 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $119.28
Current
Stop Loss: $108.91
-8.7%
Target: $140.03
+17.4%
Risk/Reward: 8.7% / 17.4% (1:2)
Day
$118.05$123.64
52W
$29.66$153.86
Bollinger Bands
$107.37$121.23$135.08
Width: 22.9% – Inside
Implied Move Β±4.8%
$114.43$124.13

AAPU ↓ (Y, F, Z, S) $31.33

β–Ό -3.39% (-1.10)
5D: β–Ό -7.53% (-2.55)
1M: β–Ό -11.79% (-4.19)
6M: β–² +68.24% (+12.71)
YTD: β–Ό -6.70% (-2.25)
1Y: β–Ό -5.21% (-1.72)
Volume: 1.7M
52W: $14.73 - $38.13
AUM: 188.49M
Volatility: 33.8%
BB: Below Lower (12.0%)
MACD: -0.468 | -0.147 (Bearish)
MA: 50d: $34.20 | 200d: $26.11
P/C Vol Ratio: 0.41
Opt Dir: Bearish   Short: N/A (N/A)
P/E: 30.70
EPS: 1.02
1y Target Est: N/A
Upside %: N/A
Div: N/A (14.38%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.98 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $31.33
Current
Stop Loss: $29.37
-6.2%
Target: $35.25
+12.5%
Risk/Reward: 6.2% / 12.5% (1:2)
Day
$31.21$32.12
52W
$14.73$38.13
Bollinger Bands
$32.00$34.05$36.09
Width: 12.0% – Below Lower
Implied Move Β±25.0%
$24.67$37.99

KOSS β†˜ (Y, F, Z, S) $4.32

β–Ό -3.57% (-0.16)
5D: β–² +2.86% (+0.12)
1M: β–Ό -10.37% (-0.50)
6M: β–² +0.47% (+0.02)
YTD: β–² +4.35% (+0.18)
1Y: β–Ό -43.68% (-3.35)
Volume: 85.7K
52W: $4.00 - $8.59
Market Cap: 40.85M
Volatility: 58.1%
BB: Inside (14.8%)
MACD: -0.120 | -0.120 (Bullish)
MA: 50d: $4.68 | 200d: $5.16
P/C Vol Ratio: N/A
Opt Dir: Neutral   Short: 3.5% (2.0d)
P/E: N/A
EPS: -0.01
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: Mar 26, 2014
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Aug 28, 2025
Signal Confidence: HOLD
ATR(14): $0.24 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $4.32
Current
Stop Loss: $3.85
-10.9%
Target: $5.26
+21.8%
Risk/Reward: 10.9% / 21.8% (1:2)
Day
$4.32$4.65
52W
$4.00$8.59
Bollinger Bands
$4.14$4.47$4.80
Width: 14.8% – Inside

CRDO ↓ (Y, F, Z, S) $135.15

β–Ό -3.63% (-5.09)
5D: β–Ό -6.74% (-9.77)
1M: β–Ό -23.23% (-40.89)
6M: β–² +287.69% (+100.29)
YTD: β–Ό -6.07% (-8.74)
1Y: β–² +76.34% (+58.51)
Volume: 4.8M
52W: $29.09 - $213.80
Market Cap: 24.41B
Volatility: 88.1%
BB: Inside (29.8%)
MACD: -4.796 | -3.829 (Bearish)
MA: 50d: $156.47 | 200d: $110.12
P/C Vol Ratio: 0.82
Opt Dir: Bearish   Short: 4.1% (1.5d)
P/E: 116.51
EPS: 1.16
1y Target Est: $211.60
Upside %: +56.6%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Dec 01, 2025
Signal Confidence: HOLD
ATR(14): $8.32 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $135.15
Current
Stop Loss: $118.51
-12.3%
Target: $168.44
+24.6%
Risk/Reward: 12.3% / 24.6% (1:2)
Day
$130.94$139.88
52W
$29.09$213.80
Bollinger Bands
$125.80$147.78$169.77
Width: 29.8% – Inside
Implied Move Β±6.8%
$127.37$142.93

BE β†— (Y, F, Z, S) $99.79

β–Ό -3.93% (-4.08)
5D: β–² +14.36% (+12.53)
1M: β–Ό -16.27% (-19.39)
6M: β–² +509.22% (+83.41)
YTD: β–² +14.85% (+12.90)
1Y: β–² +291.64% (+74.31)
Volume: 6.6M
52W: $15.15 - $147.86
Market Cap: 23.60B
Volatility: 127.6%
BB: Inside (40.4%)
MACD: -2.114 | -3.934 (Bullish)
MA: 50d: $106.96 | 200d: $56.77
P/C Vol Ratio: 1.80
Opt Dir: Strong Bearish   Short: 11.3% (2.4d)
P/E: 1247.38
EPS: 0.08
1y Target Est: $111.18
Upside %: +11.4%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 28, 2025
Signal Confidence: HOLD
ATR(14): $7.47 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $99.79
Current
Stop Loss: $84.86
-15.0%
Target: $129.65
+29.9%
Risk/Reward: 15.0% / 29.9% (1:2)
Day
$98.41$107.44
52W
$15.15$147.86
Bollinger Bands
$75.04$94.02$112.99
Width: 40.4% – Inside
Implied Move Β±8.6%
$92.52$107.06

APP ↓ (Y, F, Z, S) $607.47

β–Ό -4.02% (-25.44)
5D: β–Ό -12.43% (-86.24)
1M: β–Ό -12.21% (-84.47)
6M: β–² +166.28% (+379.34)
YTD: β–Ό -9.85% (-66.35)
1Y: β–² +71.15% (+252.54)
Volume: 3.1M
52W: $200.50 - $745.61
Market Cap: 205.48B
Volatility: 54.8%
BB: Below Lower (21.4%)
MACD: +1.970 | +16.594 (Bearish)
MA: 50d: $636.71 | 200d: $469.63
P/C Vol Ratio: 0.30
Opt Dir: Bearish   Short: 5.2% (4.6d)
P/E: 71.64
EPS: 8.48
1y Target Est: $739.96
Upside %: +21.8%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Nov 05, 2025
Signal Confidence: HOLD
ATR(14): $32.13 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $607.47
Current
Stop Loss: $543.22
-10.6%
Target: $735.98
+21.2%
Risk/Reward: 10.6% / 21.2% (1:2)
Day
$596.48$625.46
52W
$200.50$745.61
Bollinger Bands
$614.28$687.97$761.66
Width: 21.4% – Below Lower
Implied Move Β±4.8%
$582.71$632.23

CRWG β†˜ (Y, F, Z, S) $2.95

β–Ό -4.37% (-0.13)
5D: β–² +1.55% (+0.04)
1M: β–Ό -34.46% (-1.55)
6M: β–Ό -81.73% (-13.22)
YTD: β–² +9.04% (+0.24)
1Y: β–Ό -81.73% (-13.22)
Volume: 18.9M
52W: $2.27 - $18.40
AUM: 74.66M
Volatility: 184.4%
BB: Inside (81.2%)
MACD: -0.501 | -0.616 (Bullish)
MA: 50d: $5.00 | 200d: $nan
P/C Vol Ratio: 0.72
Opt Dir: Bearish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $0.46 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $2.95
Current
Stop Loss: $2.03
-31.2%
Target: $4.80
+62.3%
Risk/Reward: 31.2% / 62.3% (1:2)
Day
$2.85$3.24
52W
$2.27$18.40
Bollinger Bands
$2.00$3.36$4.73
Width: 81.2% – Inside
Implied Move Β±23.4%
$2.37$3.54

TSLA ↓ (Y, F, Z, S) $431.35

β–Ό -4.50% (-20.32)
5D: β–Ό -5.08% (-23.08)
1M: β–Ό -5.20% (-23.65)
6M: β–² +89.60% (+203.85)
YTD: β–Ό -4.08% (-18.37)
1Y: β–² +4.94% (+20.30)
Volume: 59.3M
52W: $214.25 - $498.83
Market Cap: 1.43T
Volatility: 45.5%
BB: Inside (16.3%)
MACD: +1.204 | +7.117 (Bearish)
MA: 50d: $444.91 | 200d: $362.26
P/C Vol Ratio: 0.85
Opt Dir: Neutral   Short: 2.6% (1.1d)
P/E: 297.52
EPS: 1.45
1y Target Est: $401.40
Upside %: -6.9%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Jan 28, 2026
Signal Confidence: HOLD
ATR(14): $17.74 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $431.35
Current
Stop Loss: $395.87
-8.2%
Target: $502.32
+16.5%
Risk/Reward: 8.2% / 16.5% (1:2)
Day
$428.78$446.36
52W
$214.25$498.83
Bollinger Bands
$425.26$462.94$500.63
Width: 16.3% – Inside
Implied Move Β±3.4%
$418.93$443.77

CVX β†— (Y, F, Z, S) $156.27

β–Ό -4.63% (-7.58)
5D: β–² +2.60% (+3.96)
1M: β–² +4.18% (+6.27)
6M: β–² +20.93% (+27.05)
YTD: β–² +2.53% (+3.86)
1Y: β–² +11.04% (+15.53)
Volume: 12.5M
52W: $127.59 - $165.75
Market Cap: 314.86B
Volatility: 22.6%
BB: Inside (10.1%)
MACD: +1.540 | +0.372 (Bullish)
MA: 50d: $151.76 | 200d: $147.65
P/C Vol Ratio: 0.81
Opt Dir: Bearish   Short: 0.9% (1.8d)
P/E: 21.98
EPS: 7.11
1y Target Est: $170.87
Upside %: +9.3%
Div: $6.84 (4.17%)
Annual Dividend: $6.84
Ex-Dividend Date: Nov 17, 2025
Payout Frequency: Quarterly
Payout Ratio: 0.95%
Dividend Growth: N/A
Earnings: Jan 30, 2026
Signal Confidence: HOLD
ATR(14): $3.18 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $156.27
Current
Stop Loss: $149.91
-4.1%
Target: $169.00
+8.1%
Risk/Reward: 4.1% / 8.1% (1:2)
Day
$156.27$165.05
52W
$127.59$165.75
Bollinger Bands
$143.51$151.17$158.83
Width: 10.1% – Inside
Implied Move Β±2.1%
$153.49$159.05

CONL β†’ (Y, F, Z, S) $17.43

β–Ό -5.50% (-1.02)
5D: β–² +13.21% (+2.03)
1M: β–Ό -18.03% (-3.84)
6M: β–² +28.48% (+3.86)
YTD: β–² +19.01% (+2.78)
1Y: β–Ό -62.87% (-29.52)
Volume: 10.5M
52W: $9.21 - $72.35
AUM: 688.68M
Volatility: 120.8%
BB: Inside (52.9%)
MACD: -1.839 | -2.232 (Bullish)
MA: 50d: $23.22 | 200d: $30.23
P/C Vol Ratio: 1.86
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.42 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $17.43
Current
Stop Loss: $14.59
-16.3%
Target: $23.12
+32.6%
Risk/Reward: 16.3% / 32.6% (1:2)
Day
$17.13$18.81
52W
$9.21$72.35
Bollinger Bands
$13.29$18.07$22.84
Width: 52.9% – Inside
Implied Move Β±8.3%
$16.20$18.67

MSTR β†˜ (Y, F, Z, S) $154.92

β–Ό -5.95% (-9.80)
5D: β–Ό -0.44% (-0.69)
1M: β–Ό -13.45% (-24.07)
6M: β–Ό -51.25% (-162.84)
YTD: β–² +1.95% (+2.97)
1Y: β–Ό -59.13% (-224.17)
Volume: 16.3M
52W: $149.75 - $457.22
Market Cap: 44.83B
Volatility: 63.1%
BB: Inside (27.7%)
MACD: -11.699 | -13.909 (Bullish)
MA: 50d: $197.48 | 200d: $318.76
P/C Vol Ratio: 0.29
Opt Dir: Bearish   Short: 10.9% (1.8d)
P/E: 6.36
EPS: 24.36
1y Target Est: $489.62
Upside %: +216.0%
Div: N/A (N/A%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: 0.00%
Dividend Growth: N/A
Earnings: Oct 30, 2025
Signal Confidence: HOLD
ATR(14): $8.50 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG - HOLD)
Entry: $154.92
Current
Stop Loss: $137.91
-11.0%
Target: $188.93
+22.0%
Risk/Reward: 11.0% / 22.0% (1:2)
Day
$154.67$166.82
52W
$149.75$457.22
Bollinger Bands
$142.55$165.48$188.41
Width: 27.7% – Inside
Implied Move Β±5.5%
$147.74$162.10

AMDL β†˜ (Y, F, Z, S) $15.51

β–Ό -6.20% (-1.03)
5D: β–Ό -1.30% (-0.20)
1M: β–Ό -5.23% (-0.86)
6M: β–² +372.71% (+12.23)
YTD: β–Ό -0.29% (-0.05)
1Y: β–² +76.59% (+6.73)
Volume: 19.8M
52W: $2.77 - $25.86
AUM: 671.78M
Volatility: 110.4%
BB: Inside (24.9%)
MACD: -0.316 | -0.532 (Bullish)
MA: 50d: $18.16 | 200d: $11.30
P/C Vol Ratio: 0.84
Opt Dir: Bearish   Short: N/A (N/A)
P/E: N/A
EPS: N/A
1y Target Est: N/A
Upside %: N/A
Div: N/A (0.0%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.12 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $15.51
Current
Stop Loss: $13.27
-14.4%
Target: $19.98
+28.8%
Risk/Reward: 14.4% / 28.8% (1:2)
Day
$15.07$16.74
52W
$2.77$25.86
Bollinger Bands
$13.74$15.69$17.65
Width: 24.9% – Inside
Implied Move Β±7.1%
$14.57$16.44

TSLL ↓ (Y, F, Z, S) $17.50

β–Ό -8.95% (-1.72)
5D: β–Ό -10.39% (-2.03)
1M: β–Ό -12.08% (-2.41)
6M: β–² +170.11% (+11.02)
YTD: β–Ό -8.42% (-1.61)
1Y: β–Ό -34.61% (-9.26)
Volume: 139.1M
52W: $6.01 - $30.05
AUM: 6.36B
Volatility: 90.3%
BB: Inside (32.8%)
MACD: -0.064 | +0.444 (Bearish)
MA: 50d: $19.24 | 200d: $14.42
P/C Vol Ratio: 1.47
Opt Dir: Strong Bearish   Short: N/A (N/A)
P/E: 56.65
EPS: 0.31
1y Target Est: N/A
Upside %: N/A
Div: N/A (2.14%)
Annual Dividend: N/A
Ex-Dividend Date: N/A
Payout Frequency: N/A
Payout Ratio: N/A
Dividend Growth: N/A
Earnings: N/A
Signal Confidence: HOLD
ATR(14): $1.57 | Stop Loss: $nan | R:R: nan:1 | Position: nan%
🟒 TRADE SETUP (LONG)
Entry: $17.50
Current
Stop Loss: $14.36
-17.9%
Target: $23.78
+35.9%
Risk/Reward: 17.9% / 35.9% (1:2)
Day
$17.29$18.60
52W
$6.01$30.05
Bollinger Bands
$17.07$20.42$23.76
Width: 32.8% – Inside
Implied Move Β±6.3%
$16.57$18.43
RKLX ↑ (Y, F, Z, S) $57.30
β–² +15.69% (+7.77)
5D: β–² +40.82% (+16.61)
1M: β–² +164.06% (+35.60)
Vol: 4.2M
52W: $3.32 - $57.42
AUM: 78.77M
WDC ↑ (Y, F, Z, S) $217.35
β–² +15.69% (+29.47)
5D: β–² +23.45% (+41.29)
1M: β–² +28.69% (+48.46)
Vol: 14.6M
52W: $28.72 - $219.00
Market Cap: 74.51B
MUU ↑ (Y, F, Z, S) $137.10
β–² +15.16% (+18.05)
5D: β–² +29.31% (+31.08)
1M: β–² +91.26% (+65.41)
Vol: 1.4M
52W: $6.42 - $137.87
AUM: 297.24M
STX ↑ (Y, F, Z, S) $326.02
β–² +12.49% (+36.19)
5D: β–² +16.40% (+45.94)
1M: β–² +17.25% (+47.96)
Vol: 2.6M
52W: $62.49 - $327.50
Market Cap: 71.03B
MCHP ↑ (Y, F, Z, S) $74.32
β–² +10.82% (+7.26)
5D: β–² +14.90% (+9.64)
1M: β–² +12.92% (+8.51)
Vol: 7.6M
52W: $33.33 - $75.98
Market Cap: 40.16B
SOXL ↑ (Y, F, Z, S) $53.68
β–² +9.06% (+4.46)
5D: β–² +22.92% (+10.01)
1M: β–² +15.44% (+7.18)
Vol: 75.3M
52W: $7.21 - $53.89
AUM: 13.62B
AMZU ↑ (Y, F, Z, S) $38.43
β–² +8.16% (+2.90)
5D: β–² +8.31% (+2.95)
1M: β–² +10.35% (+3.60)
Vol: 3.5M
52W: $20.14 - $47.61
AUM: 321.53M
NXPI ↑ (Y, F, Z, S) $242.05
β–² +8.12% (+18.17)
5D: β–² +10.03% (+22.07)
1M: β–² +6.66% (+15.11)
Vol: 1.5M
52W: $146.07 - $250.74
Market Cap: 61.02B
RKLB ↑ (Y, F, Z, S) $84.31
β–² +7.90% (+6.17)
5D: β–² +19.68% (+13.86)
1M: β–² +71.87% (+35.26)
Vol: 20.9M
52W: $14.71 - $84.47
Market Cap: 45.04B
MU ↑ (Y, F, Z, S) $335.91
β–² +7.61% (+23.76)
5D: β–² +14.79% (+43.28)
1M: β–² +41.66% (+98.79)
Vol: 36.7M
52W: $61.42 - $336.66
Market Cap: 378.07B
LRCX ↑ (Y, F, Z, S) $207.95
β–² +6.77% (+13.19)
5D: β–² +19.66% (+34.17)
1M: β–² +31.03% (+49.25)
Vol: 8.9M
52W: $55.98 - $210.45
Market Cap: 262.23B
AXON ↑ (Y, F, Z, S) $629.30
β–² +6.45% (+38.14)
5D: β–² +10.00% (+57.19)
1M: β–² +14.22% (+78.35)
Vol: 414.3K
52W: $469.24 - $885.92
Market Cap: 49.99B
PLTU ↓ (Y, F, Z, S) $74.39
β–² +6.23% (+4.36)
5D: β–Ό -2.30% (-1.75)
1M: β–Ό -3.79% (-2.93)
Vol: 879.3K
52W: $13.61 - $105.79
AUM: 505.05M
PTIR ↓ (Y, F, Z, S) $27.04
β–² +6.04% (+1.54)
5D: β–Ό -2.38% (-0.66)
1M: β–Ό -4.95% (-1.41)
Vol: 5.9M
52W: $5.01 - $38.79
AUM: 622.64M
ADI β†— (Y, F, Z, S) $293.94
β–² +6.00% (+16.65)
5D: β–² +6.96% (+19.12)
1M: β–² +4.87% (+13.64)
Vol: 1.7M
52W: $156.76 - $294.09
Market Cap: 143.93B
UBER ↑ (Y, F, Z, S) $85.53
β–² +5.93% (+4.79)
5D: β–² +4.15% (+3.41)
1M: β–Ό -6.34% (-5.79)
Vol: 18.0M
52W: $60.63 - $101.99
Market Cap: 178.36B
AEO β†— (Y, F, Z, S) $28.42
β–² +5.85% (+1.57)
5D: β–² +6.48% (+1.73)
1M: β–² +23.08% (+5.33)
Vol: 3.4M
52W: $9.08 - $28.43
Market Cap: 4.82B
HIBL ↑ (Y, F, Z, S) $76.75
β–² +5.83% (+4.23)
5D: β–² +12.97% (+8.81)
1M: β–² +14.69% (+9.83)
Vol: 135.5K
52W: $13.62 - $76.75
AUM: 62.42M
CAVA ↑ (Y, F, Z, S) $66.93
β–² +5.44% (+3.45)
5D: β–² +14.73% (+8.59)
1M: β–² +25.42% (+13.56)
Vol: 2.6M
52W: $43.41 - $144.49
Market Cap: 7.76B
CURE ↑ (Y, F, Z, S) $117.56
β–² +5.08% (+5.68)
5D: β–² +3.44% (+3.91)
1M: β–² +8.96% (+9.67)
Vol: 266.0K
52W: $65.57 - $120.82
AUM: 206.59M
UNHG ↑ (Y, F, Z, S) $18.77
β–² +4.51% (+0.81)
5D: β–² +10.41% (+1.77)
1M: β–² +12.00% (+2.01)
Vol: 16.7M
52W: $9.10 - $22.82
Market Cap: N/A
TEAM β†— (Y, F, Z, S) $160.75
β–² +4.46% (+6.87)
5D: β–Ό -1.34% (-2.18)
1M: β–² +0.89% (+1.42)
Vol: 1.7M
52W: $139.70 - $326.00
Market Cap: 42.31B
DFEN ↑ (Y, F, Z, S) $77.95
β–² +4.39% (+3.28)
5D: β–² +18.88% (+12.38)
1M: β–² +43.57% (+23.66)
Vol: 394.4K
52W: $15.97 - $78.10
AUM: 325.25M
ISRG β†— (Y, F, Z, S) $589.80
β–² +4.14% (+23.42)
5D: β–² +3.00% (+17.17)
1M: β–² +2.51% (+14.46)
Vol: 945.0K
52W: $425.00 - $616.00
Market Cap: 211.43B
AMZN ↑ (Y, F, Z, S) $242.56
β–² +4.08% (+9.50)
5D: β–² +4.31% (+10.03)
1M: β–² +5.68% (+13.03)
Vol: 23.9M
52W: $161.38 - $258.60
Market Cap: 2.59T
VRTX β†— (Y, F, Z, S) $466.46
β–² +3.93% (+17.66)
5D: β–² +2.80% (+12.72)
1M: β–² +2.41% (+10.98)
Vol: 1.0M
52W: $362.50 - $519.68
Market Cap: 119.60B
KSS β†— (Y, F, Z, S) $22.23
β–² +3.93% (+0.84)
5D: β–² +9.24% (+1.88)
1M: β–Ό -3.04% (-0.70)
Vol: 1.4M
52W: $5.88 - $25.09
Market Cap: 2.49B
CDNS ↓ (Y, F, Z, S) $312.89
β–² +3.87% (+11.67)
5D: β–Ό -0.86% (-2.71)
1M: β–Ό -7.30% (-24.64)
Vol: 1.2M
52W: $221.56 - $376.45
Market Cap: 85.26B
DNUT β†— (Y, F, Z, S) $4.34
β–² +3.83% (+0.16)
5D: β–² +7.69% (+0.31)
1M: β–² +1.17% (+0.05)
Vol: 1.5M
52W: $2.50 - $9.85
Market Cap: 743.44M
SATS β†— (Y, F, Z, S) $114.85
β–² +3.78% (+4.18)
5D: β–² +5.17% (+5.65)
1M: β–² +40.06% (+32.85)
Vol: 6.2M
52W: $14.90 - $115.62
Market Cap: 33.06B
TECL ↑ (Y, F, Z, S) $123.42
β–² +3.71% (+4.42)
5D: β–² +1.85% (+2.24)
1M: β–Ό -1.41% (-1.77)
Vol: 1.1M
52W: $30.54 - $146.37
AUM: 4.13B
QCOM ↑ (Y, F, Z, S) $182.79
β–² +3.67% (+6.48)
5D: β–² +5.26% (+9.14)
1M: β–² +4.56% (+7.98)
Vol: 5.1M
52W: $118.79 - $204.90
Market Cap: 197.23B
AMAT ↑ (Y, F, Z, S) $294.68
β–² +3.64% (+10.36)
5D: β–² +13.35% (+34.71)
1M: β–² +9.96% (+26.68)
Vol: 2.9M
52W: $122.80 - $298.22
Market Cap: 234.75B
CTSH β†— (Y, F, Z, S) $84.59
β–² +3.63% (+2.96)
5D: β–² +0.53% (+0.45)
1M: β–² +4.79% (+3.87)
Vol: 1.9M
52W: $64.70 - $89.37
Market Cap: 41.31B
PDD ↑ (Y, F, Z, S) $123.36
β–² +3.56% (+4.24)
5D: β–² +8.37% (+9.53)
1M: β–² +4.88% (+5.74)
Vol: 24.4M
52W: $87.11 - $139.41
Market Cap: 175.13B
KLAC ↑ (Y, F, Z, S) $1400.09
β–² +3.52% (+47.64)
5D: β–² +12.58% (+156.44)
1M: β–² +15.28% (+185.63)
Vol: 367.2K
52W: $547.89 - $1406.97
Market Cap: 184.37B
PCAR β†— (Y, F, Z, S) $116.86
β–² +3.49% (+3.94)
5D: β–² +5.32% (+5.90)
1M: β–² +7.27% (+7.92)
Vol: 3.0M
52W: $82.75 - $119.21
Market Cap: 61.38B
MIDU ↑ (Y, F, Z, S) $56.67
β–² +3.37% (+1.85)
5D: β–² +8.09% (+4.24)
1M: β–² +9.57% (+4.95)
Vol: 70.8K
52W: $25.11 - $61.03
AUM: 71.90M
XME ↑ (Y, F, Z, S) $114.74
β–² +3.31% (+3.68)
5D: β–² +9.56% (+10.01)
1M: β–² +15.18% (+15.12)
Vol: 2.3M
52W: $45.72 - $115.22
Market Cap: 2.01B
AZN β†— (Y, F, Z, S) $94.15
β–² +3.21% (+2.93)
5D: β–² +1.77% (+1.64)
1M: β–² +4.40% (+3.97)
Vol: 3.9M
52W: $60.82 - $95.27
Market Cap: 291.92B
BIIB β†— (Y, F, Z, S) $180.11
β–² +3.14% (+5.48)
5D: β–² +2.10% (+3.71)
1M: β–Ό -0.66% (-1.19)
Vol: 621.2K
52W: $110.04 - $185.17
Market Cap: 26.42B
PLTR β†˜ (Y, F, Z, S) $179.48
β–² +3.13% (+5.44)
5D: β–Ό -0.75% (-1.36)
1M: β–Ό -1.25% (-2.28)
Vol: 17.1M
52W: $63.40 - $207.52
Market Cap: 427.78B
SBUX ↑ (Y, F, Z, S) $89.26
β–² +3.13% (+2.71)
5D: β–² +4.71% (+4.01)
1M: β–² +4.87% (+4.14)
Vol: 5.3M
52W: $73.95 - $115.04
Market Cap: 101.51B
DXCM ↑ (Y, F, Z, S) $69.75
β–² +3.10% (+2.10)
5D: β–² +4.01% (+2.69)
1M: β–² +6.50% (+4.26)
Vol: 1.7M
52W: $54.11 - $93.25
Market Cap: 27.35B
RDDT ↑ (Y, F, Z, S) $251.59
β–² +3.09% (+7.54)
5D: β–² +7.81% (+18.23)
1M: β–² +7.47% (+17.48)
Vol: 2.2M
52W: $79.75 - $282.95
Market Cap: 47.68B
OPEN β†’ (Y, F, Z, S) $6.52
β–² +3.09% (+0.20)
5D: β–² +11.56% (+0.68)
1M: β–Ό -8.88% (-0.63)
Vol: 37.4M
52W: $0.51 - $10.87
Market Cap: 6.21B
SNOW β†— (Y, F, Z, S) $231.17
β–² +3.04% (+6.81)
5D: β–² +4.11% (+9.12)
1M: β–² +1.04% (+2.38)
Vol: 2.8M
52W: $120.10 - $280.67
Market Cap: 79.11B
MELI ↑ (Y, F, Z, S) $2213.26
β–² +3.01% (+64.64)
5D: β–² +9.52% (+192.38)
1M: β–² +7.11% (+146.84)
Vol: 287.3K
52W: $1723.90 - $2645.22
Market Cap: 112.21B
ACN β†— (Y, F, Z, S) $271.87
β–² +2.99% (+7.89)
5D: β–² +0.69% (+1.87)
1M: β–² +1.98% (+5.28)
Vol: 1.6M
52W: $229.40 - $394.41
Market Cap: 168.60B
ODFL ↑ (Y, F, Z, S) $168.48
β–² +2.90% (+4.75)
5D: β–² +5.75% (+9.17)
1M: β–² +8.59% (+13.33)
Vol: 670.0K
52W: $125.76 - $208.11
Market Cap: 35.41B
LABU β†˜ (Y, F, Z, S) $156.38
β–² +2.86% (+4.35)
5D: β–Ό -1.20% (-1.90)
1M: β–Ό -5.58% (-9.24)
Vol: 533.9K
52W: $32.22 - $178.22
AUM: 879.91M
NBIS ↑ (Y, F, Z, S) $95.46
β–² +2.83% (+2.63)
5D: β–² +12.08% (+10.29)
1M: β–Ό -2.63% (-2.58)
Vol: 14.2M
52W: $18.31 - $141.10
Market Cap: 24.04B
USD ↑ (Y, F, Z, S) $56.18
β–² +2.73% (+1.49)
5D: β–² +5.11% (+2.73)
1M: β–² +3.01% (+1.64)
Vol: 569.9K
52W: $12.51 - $64.79
AUM: 1.66B
MAR β†— (Y, F, Z, S) $319.48
β–² +2.72% (+8.45)
5D: β–² +1.76% (+5.54)
1M: β–² +9.19% (+26.89)
Vol: 842.1K
52W: $203.87 - $319.67
Market Cap: 86.73B
ELIL β†’ (Y, F, Z, S) $27.23
β–² +2.72% (+0.72)
5D: β–Ό -4.87% (-1.39)
1M: β–² +8.38% (+2.11)
Vol: 94.0K
52W: $10.20 - $30.58
AUM: 23.27M
MDB β†— (Y, F, Z, S) $432.17
β–² +2.70% (+11.35)
5D: β–² +2.60% (+10.94)
1M: β–² +5.51% (+22.55)
Vol: 611.5K
52W: $140.78 - $440.67
Market Cap: 35.19B
IDXX β†— (Y, F, Z, S) $700.29
β–² +2.65% (+18.07)
5D: β–² +2.63% (+17.97)
1M: β–Ό -1.93% (-13.80)
Vol: 130.8K
52W: $356.14 - $769.98
Market Cap: 56.03B
SMH ↑ (Y, F, Z, S) $387.47
β–² +2.62% (+9.88)
5D: β–² +6.65% (+24.16)
1M: β–² +6.66% (+24.18)
Vol: 12.2M
52W: $169.58 - $389.36
Market Cap: 4.52B
AVL ↓ (Y, F, Z, S) $44.45
β–² +2.54% (+1.10)
5D: β–Ό -1.31% (-0.59)
1M: β–Ό -22.57% (-12.95)
Vol: 537.3K
52W: $8.83 - $65.16
AUM: 134.56M
GILD β†˜ (Y, F, Z, S) $121.28
β–² +2.52% (+2.98)
5D: β–Ό -1.54% (-1.90)
1M: β–² +0.71% (+0.86)
Vol: 3.2M
52W: $86.16 - $127.86
Market Cap: 150.49B
TQQQ ↑ (Y, F, Z, S) $54.92
β–² +2.46% (+1.32)
5D: β–² +1.51% (+0.82)
1M: β–Ό -2.04% (-1.14)
Vol: 84.1M
52W: $17.41 - $60.59
AUM: 30.90B
CRM β†— (Y, F, Z, S) $262.48
β–² +2.43% (+6.21)
5D: β–Ό -1.30% (-3.45)
1M: β–² +0.89% (+2.32)
Vol: 2.9M
52W: $221.60 - $364.71
Market Cap: 249.88B
BYND ↓ (Y, F, Z, S) $0.91
β–² +2.31% (+0.02)
5D: β–² +7.51% (+0.06)
1M: β–Ό -25.36% (-0.31)
Vol: 50.5M
52W: $0.50 - $7.69
Market Cap: 412.79M
UNH ↑ (Y, F, Z, S) $349.87
β–² +2.30% (+7.85)
5D: β–² +5.33% (+17.71)
1M: β–² +6.44% (+21.17)
Vol: 5.8M
52W: $231.57 - $594.32
Market Cap: 316.93B
XRT β†— (Y, F, Z, S) $88.90
β–² +2.26% (+1.96)
5D: β–² +3.41% (+2.93)
1M: β–² +3.31% (+2.85)
Vol: 4.5M
52W: $60.97 - $89.13
Market Cap: 1.08B
EDC ↑ (Y, F, Z, S) $62.22
β–² +2.18% (+1.33)
5D: β–² +13.00% (+7.16)
1M: β–² +17.92% (+9.45)
Vol: 234.9K
52W: $19.88 - $62.73
AUM: 118.25M
SPYU ↑ (Y, F, Z, S) $57.80
β–² +2.17% (+1.23)
5D: β–² +2.14% (+1.21)
1M: β–² +1.99% (+1.13)
Vol: 2.0M
52W: $18.15 - $60.42
AUM: 441.65M
SHW ↑ (Y, F, Z, S) $339.14
β–² +2.09% (+6.94)
5D: β–² +3.98% (+12.98)
1M: β–² +1.81% (+6.03)
Vol: 722.8K
52W: $306.78 - $378.76
Market Cap: 84.56B
AMGN β†˜ (Y, F, Z, S) $327.40
β–² +2.08% (+6.68)
5D: β–Ό -0.39% (-1.29)
1M: β–Ό -0.75% (-2.49)
Vol: 900.3K
52W: $248.95 - $346.38
Market Cap: 176.30B
AMC ↓ (Y, F, Z, S) $1.56
β–² +2.05% (+0.03)
5D: β–Ό -3.02% (-0.05)
1M: β–Ό -31.22% (-0.71)
Vol: 21.1M
52W: $1.50 - $4.13
Market Cap: 800.91M
SNPS ↑ (Y, F, Z, S) $504.22
β–² +2.03% (+10.03)
5D: β–² +6.27% (+29.73)
1M: β–² +8.03% (+37.46)
Vol: 930.7K
52W: $365.74 - $651.73
Market Cap: 96.47B
ETN β†— (Y, F, Z, S) $328.73
β–² +2.01% (+6.46)
5D: β–² +2.45% (+7.87)
1M: β–Ό -2.65% (-8.93)
Vol: 1.8M
52W: $230.37 - $398.40
Market Cap: 127.97B
TNA β†— (Y, F, Z, S) $50.12
β–² +1.98% (+0.97)
5D: β–² +7.54% (+3.51)
1M: β–² +4.21% (+2.02)
Vol: 6.8M
52W: $17.89 - $52.39
AUM: 1.93B
FNGU ↓ (Y, F, Z, S) $24.98
β–² +1.96% (+0.48)
5D: β–Ό -3.52% (-0.91)
1M: β–Ό -16.15% (-4.81)
Vol: 2.6M
52W: $7.95 - $34.14
Market Cap: N/A
PANW β†˜ (Y, F, Z, S) $185.68
β–² +1.95% (+3.56)
5D: β–Ό -0.63% (-1.17)
1M: β–Ό -6.62% (-13.16)
Vol: 2.1M
52W: $144.15 - $223.61
Market Cap: 129.42B
MA β†— (Y, F, Z, S) $579.60
β–² +1.94% (+11.03)
5D: β–² +0.38% (+2.18)
1M: β–² +6.25% (+34.08)
Vol: 1.5M
52W: $463.61 - $600.98
Market Cap: 523.97B
WEBL β†— (Y, F, Z, S) $27.88
β–² +1.90% (+0.52)
5D: β–Ό -0.57% (-0.16)
1M: β–Ό -2.86% (-0.82)
Vol: 364.4K
52W: $11.65 - $35.24
AUM: 121.47M
GEHC β†— (Y, F, Z, S) $86.62
β–² +1.86% (+1.58)
5D: β–² +3.95% (+3.29)
1M: β–² +1.36% (+1.17)
Vol: 1.2M
52W: $57.57 - $94.66
Market Cap: 39.55B
DDM ↑ (Y, F, Z, S) $60.10
β–² +1.86% (+1.10)
5D: β–² +4.39% (+2.53)
1M: β–² +5.98% (+3.39)
Vol: 1.9M
52W: $34.27 - $60.12
AUM: 492.37M
XLB ↑ (Y, F, Z, S) $47.44
β–² +1.84% (+0.85)
5D: β–² +3.73% (+1.71)
1M: β–² +8.14% (+3.57)
Vol: 9.6M
52W: $36.02 - $47.53
Market Cap: 3.41B
AIBU β†— (Y, F, Z, S) $51.42
β–² +1.83% (+0.92)
5D: β–² +2.23% (+1.12)
1M: β–Ό -5.70% (-3.11)
Vol: 9.5K
52W: $18.29 - $64.16
AUM: 39.88M
DASH β†— (Y, F, Z, S) $230.74
β–² +1.78% (+4.02)
5D: β–² +1.15% (+2.61)
1M: β–² +2.55% (+5.74)
Vol: 2.0M
52W: $155.40 - $285.50
Market Cap: 99.45B
DOW ↑ (Y, F, Z, S) $25.33
β–² +1.75% (+0.43)
5D: β–² +7.76% (+1.82)
1M: β–² +10.34% (+2.38)
Vol: 5.5M
52W: $19.82 - $39.24
Market Cap: 18.01B
NVO ↑ (Y, F, Z, S) $56.06
β–² +1.73% (+0.95)
5D: β–² +9.46% (+4.84)
1M: β–² +17.14% (+8.20)
Vol: 24.7M
52W: $43.08 - $91.28
Market Cap: 249.12B
COST ↑ (Y, F, Z, S) $890.70
β–² +1.71% (+14.96)
5D: β–² +2.89% (+25.05)
1M: β–Ό -0.44% (-3.98)
Vol: 1.0M
52W: $844.06 - $1073.82
Market Cap: 395.43B
IBM β†˜ (Y, F, Z, S) $299.98
β–² +1.70% (+5.01)
5D: β–Ό -0.69% (-2.07)
1M: β–Ό -2.59% (-7.96)
Vol: 1.7M
52W: $209.20 - $324.90
Market Cap: 280.40B
XLV β†— (Y, F, Z, S) $157.67
β–² +1.70% (+2.63)
5D: β–² +1.28% (+1.99)
1M: β–² +3.32% (+5.06)
Vol: 11.2M
52W: $125.63 - $158.30
Market Cap: 31.13B
UPRO ↑ (Y, F, Z, S) $120.57
β–² +1.67% (+1.98)
5D: β–² +1.80% (+2.13)
1M: β–² +2.44% (+2.88)
Vol: 2.6M
52W: $45.54 - $121.84
AUM: 5.10B
SPXL ↑ (Y, F, Z, S) $229.77
β–² +1.66% (+3.74)
5D: β–² +1.83% (+4.13)
1M: β–² +2.41% (+5.41)
Vol: 1.3M
52W: $86.59 - $232.01
AUM: 6.23B
BNKU ↑ (Y, F, Z, S) $39.06
β–² +1.64% (+0.63)
5D: β–² +12.76% (+4.42)
1M: β–² +26.37% (+8.15)
Vol: 56.3K
52W: $8.51 - $39.33
AUM: 27.66M
QTUM ↑ (Y, F, Z, S) $116.48
β–² +1.59% (+1.82)
5D: β–² +5.21% (+5.77)
1M: β–² +3.28% (+3.70)
Vol: 458.9K
52W: $62.13 - $116.50
AUM: 2.99B
QQQE ↑ (Y, F, Z, S) $104.99
β–² +1.56% (+1.61)
5D: β–² +1.69% (+1.74)
1M: β–² +1.05% (+1.09)
Vol: 213.9K
52W: $74.72 - $105.19
AUM: 1.25B
INTU ↓ (Y, F, Z, S) $643.58
β–² +1.54% (+9.74)
5D: β–Ό -3.93% (-26.30)
1M: β–Ό -4.46% (-30.05)
Vol: 1.0M
52W: $530.03 - $812.22
Market Cap: 179.17B
CVNA β†’ (Y, F, Z, S) $436.58
β–² +1.52% (+6.52)
5D: β–² +1.64% (+7.03)
1M: β–² +9.21% (+36.81)
Vol: 1.5M
52W: $148.25 - $485.33
Market Cap: 94.65B
FNGO ↓ (Y, F, Z, S) $115.91
β–² +1.51% (+1.72)
5D: β–Ό -1.73% (-2.04)
1M: β–Ό -10.43% (-13.50)
Vol: 15.3K
52W: $48.67 - $140.87
AUM: 637.91M
ABT ↑ (Y, F, Z, S) $128.33
β–² +1.49% (+1.88)
5D: β–² +2.03% (+2.55)
1M: β–² +2.60% (+3.25)
Vol: 3.3M
52W: $109.37 - $139.33
Market Cap: 223.36B
AXP β†— (Y, F, Z, S) $385.42
β–² +1.48% (+5.62)
5D: β–² +3.45% (+12.86)
1M: β–² +4.30% (+15.89)
Vol: 942.4K
52W: $218.83 - $386.63
Market Cap: 268.20B
WMT β†— (Y, F, Z, S) $114.38
β–² +1.48% (+1.67)
5D: β–² +2.20% (+2.46)
1M: β–Ό -0.43% (-0.50)
Vol: 9.5M
52W: $79.27 - $117.45
Market Cap: 911.91B
FAS ↑ (Y, F, Z, S) $183.25
β–² +1.41% (+2.54)
5D: β–² +6.39% (+11.01)
1M: β–² +16.01% (+25.28)
Vol: 641.6K
52W: $85.28 - $184.20
AUM: 2.55B
CAT ↑ (Y, F, Z, S) $624.65
β–² +1.39% (+8.55)
5D: β–² +8.19% (+47.26)
1M: β–² +3.56% (+21.48)
Vol: 1.4M
52W: $264.29 - $627.50
Market Cap: 292.64B
PAYX ↓ (Y, F, Z, S) $110.99
β–² +1.38% (+1.51)
5D: β–Ό -2.12% (-2.40)
1M: β–Ό -0.95% (-1.07)
Vol: 813.7K
52W: $107.80 - $158.49
Market Cap: 39.84B
GE ↑ (Y, F, Z, S) $328.73
β–² +1.36% (+4.41)
5D: β–² +5.43% (+16.94)
1M: β–² +15.91% (+45.11)
Vol: 1.6M
52W: $158.75 - $329.43
Market Cap: 348.60B
REGN β†— (Y, F, Z, S) $773.59
β–² +1.36% (+10.36)
5D: β–Ό -0.05% (-0.35)
1M: β–² +7.69% (+55.23)
Vol: 446.6K
52W: $475.17 - $792.77
Market Cap: 81.99B
HD β†— (Y, F, Z, S) $348.71
β–² +1.34% (+4.62)
5D: β–² +0.68% (+2.36)
1M: β–Ό -1.66% (-5.89)
Vol: 2.3M
52W: $320.39 - $424.01
Market Cap: 347.15B
LLY β†’ (Y, F, Z, S) $1055.39
β–² +1.33% (+13.88)
5D: β–Ό -2.26% (-24.36)
1M: β–² +4.46% (+45.08)
Vol: 1.5M
52W: $621.50 - $1111.99
Market Cap: 946.11B
SHLD ↑ (Y, F, Z, S) $70.86
β–² +1.32% (+0.93)
5D: β–² +8.54% (+5.58)
1M: β–² +13.18% (+8.25)
Vol: 993.7K
52W: $36.41 - $71.28
AUM: 4.83B
AVGO ↓ (Y, F, Z, S) $347.95
β–² +1.32% (+4.53)
5D: β–Ό -0.54% (-1.90)
1M: β–Ό -10.67% (-41.54)
Vol: 14.1M
52W: $137.28 - $413.82
Market Cap: 1.65T
ROST β†— (Y, F, Z, S) $189.06
β–² +1.27% (+2.38)
5D: β–² +4.19% (+7.61)
1M: β–² +6.53% (+11.59)
Vol: 1.5M
52W: $121.41 - $189.58
Market Cap: 61.49B
XLK ↑ (Y, F, Z, S) $146.43
β–² +1.26% (+1.82)
5D: β–² +0.70% (+1.02)
1M: β–² +0.04% (+0.06)
Vol: 10.4M
52W: $85.84 - $152.76
Market Cap: 39.84B
HON ↑ (Y, F, Z, S) $203.54
β–² +1.22% (+2.45)
5D: β–² +3.66% (+7.18)
1M: β–² +6.38% (+12.21)
Vol: 1.2M
52W: $166.32 - $225.29
Market Cap: 137.16B
MSFU ↓ (Y, F, Z, S) $40.07
β–² +1.19% (+0.47)
5D: β–Ό -4.98% (-2.10)
1M: β–Ό -4.26% (-1.78)
Vol: 1.1M
52W: $23.38 - $57.52
AUM: 245.62M
MRK ↑ (Y, F, Z, S) $108.69
β–² +1.16% (+1.25)
5D: β–² +2.48% (+2.63)
1M: β–² +9.93% (+9.82)
Vol: 7.3M
52W: $71.26 - $110.17
Market Cap: 271.48B
FNGG ↓ (Y, F, Z, S) $204.00
β–² +1.15% (+2.31)
5D: β–Ό -2.62% (-5.49)
1M: β–Ό -10.68% (-24.39)
Vol: 4.3K
52W: $87.30 - $248.19
AUM: 133.73M
TSM ↑ (Y, F, Z, S) $325.93
β–² +1.14% (+3.68)
5D: β–² +8.80% (+26.36)
1M: β–² +10.89% (+32.01)
Vol: 10.7M
52W: $132.98 - $333.08
Market Cap: 1.69T
ADP β†˜ (Y, F, Z, S) $260.26
β–² +1.14% (+2.94)
5D: β–² +0.28% (+0.73)
1M: β–² +0.12% (+0.31)
Vol: 842.4K
52W: $245.59 - $324.50
Market Cap: 105.43B
FTNT ↓ (Y, F, Z, S) $78.82
β–² +1.13% (+0.88)
5D: β–Ό -1.86% (-1.49)
1M: β–Ό -9.32% (-8.10)
Vol: 2.2M
52W: $70.12 - $114.82
Market Cap: 60.40B
CTAS ↓ (Y, F, Z, S) $187.55
β–² +1.13% (+2.09)
5D: β–Ό -1.47% (-2.80)
1M: β–² +0.43% (+0.80)
Vol: 424.4K
52W: $179.96 - $228.23
Market Cap: 75.57B
XLI ↑ (Y, F, Z, S) $161.64
β–² +1.12% (+1.79)
5D: β–² +3.34% (+5.22)
1M: β–² +4.93% (+7.59)
Vol: 8.4M
52W: $111.56 - $161.65
Market Cap: 22.08B
TMO ↑ (Y, F, Z, S) $618.01
β–² +1.11% (+6.81)
5D: β–² +5.92% (+34.56)
1M: β–² +7.98% (+45.67)
Vol: 1.6M
52W: $384.82 - $628.08
Market Cap: 232.19B
XBI β†˜ (Y, F, Z, S) $121.47
β–² +1.10% (+1.32)
5D: β–Ό -0.16% (-0.20)
1M: β–Ό -1.25% (-1.53)
Vol: 5.4M
52W: $66.42 - $126.50
AUM: 8.33B
SSO ↑ (Y, F, Z, S) $59.53
β–² +1.10% (+0.65)
5D: β–² +1.23% (+0.73)
1M: β–² +1.81% (+1.06)
Vol: 6.4M
52W: $30.24 - $59.63
AUM: 7.25B
MCD ↓ (Y, F, Z, S) $303.12
β–² +1.09% (+3.26)
5D: β–Ό -1.59% (-4.91)
1M: β–Ό -2.61% (-8.11)
Vol: 1.7M
52W: $270.23 - $321.79
Market Cap: 216.31B
PFE β†˜ (Y, F, Z, S) $25.44
β–² +1.07% (+0.27)
5D: β–² +1.80% (+0.45)
1M: β–Ό -2.27% (-0.59)
Vol: 26.7M
52W: $19.83 - $27.21
Market Cap: 144.64B
ADSK ↓ (Y, F, Z, S) $291.74
β–² +1.07% (+3.08)
5D: β–Ό -2.60% (-7.80)
1M: β–Ό -4.89% (-15.00)
Vol: 244.9K
52W: $232.67 - $329.09
Market Cap: 62.14B
ALNY β†’ (Y, F, Z, S) $402.07
β–² +1.07% (+4.24)
5D: β–² +1.21% (+4.82)
1M: β–Ό -12.23% (-56.05)
Vol: 849.5K
52W: $205.87 - $495.55
Market Cap: 53.12B
NOW ↓ (Y, F, Z, S) $149.15
β–² +1.05% (+1.55)
5D: β–Ό -3.29% (-5.08)
1M: β–Ό -12.71% (-21.72)
Vol: 3.2M
52W: $135.73 - $239.62
Market Cap: 157.37B
FTEC ↑ (Y, F, Z, S) $228.15
β–² +1.01% (+2.28)
5D: β–² +0.57% (+1.29)
1M: β–Ό -0.25% (-0.58)
Vol: 275.0K
52W: $133.64 - $239.96
AUM: 16.66B
ORCX β†’ (Y, F, Z, S) $16.98
β–² +1.01% (+0.17)
5D: β–Ό -3.74% (-0.66)
1M: β–Ό -23.79% (-5.30)
Vol: 7.5M
52W: $9.05 - $60.53
AUM: 163.17M
VGT ↑ (Y, F, Z, S) $765.04
β–² +1.01% (+7.62)
5D: β–² +0.55% (+4.15)
1M: β–Ό -0.28% (-2.15)
Vol: 408.3K
52W: $449.54 - $806.17
AUM: 129.96B
BULZ ↑ (Y, F, Z, S) $265.03
β–² +0.99% (+2.59)
5D: β–Ό -1.05% (-2.80)
1M: β–Ό -4.67% (-12.97)
Vol: 478.1K
52W: $57.00 - $335.58
AUM: 2.14B
SKYY ↓ (Y, F, Z, S) $129.81
β–² +0.97% (+1.24)
5D: β–Ό -1.18% (-1.55)
1M: β–Ό -1.80% (-2.38)
Vol: 38.0K
52W: $85.38 - $143.74
AUM: 3.04B
MS ↑ (Y, F, Z, S) $188.33
β–² +0.96% (+1.79)
5D: β–² +5.17% (+9.25)
1M: β–² +6.70% (+11.82)
Vol: 1.6M
52W: $92.37 - $188.75
Market Cap: 300.65B
ADBE ↓ (Y, F, Z, S) $334.69
β–² +0.94% (+3.13)
5D: β–Ό -5.06% (-17.82)
1M: β–Ό -3.34% (-11.57)
Vol: 1.5M
52W: $311.59 - $465.70
Market Cap: 141.98B
MMM β†— (Y, F, Z, S) $165.07
β–² +0.93% (+1.52)
5D: β–² +2.42% (+3.90)
1M: β–Ό -1.44% (-2.41)
Vol: 1.3M
52W: $120.31 - $174.69
Market Cap: 87.92B
FAST β†’ (Y, F, Z, S) $41.53
β–² +0.91% (+0.38)
5D: β–² +1.60% (+0.66)
1M: β–² +0.06% (+0.03)
Vol: 3.1M
52W: $34.77 - $50.37
Market Cap: 47.67B
DDOG β†˜ (Y, F, Z, S) $134.85
β–² +0.91% (+1.21)
5D: β–Ό -1.91% (-2.63)
1M: β–Ό -10.94% (-16.56)
Vol: 1.2M
52W: $81.63 - $201.69
Market Cap: 47.29B
IYW ↑ (Y, F, Z, S) $202.11
β–² +0.85% (+1.71)
5D: β–² +0.30% (+0.60)
1M: β–Ό -0.38% (-0.77)
Vol: 569.3K
52W: $117.42 - $211.92
Market Cap: 4.17B
NTSK ↓ (Y, F, Z, S) $17.30
β–² +0.85% (+0.15)
5D: β–Ό -3.54% (-0.64)
1M: β–Ό -16.57% (-3.43)
Vol: 1.7M
52W: $16.57 - $27.99
Market Cap: 6.80B
FDGFX β†’ (Y, F, Z, S) $43.35
β–² +0.84% (+0.36)
5D: β–² +1.19% (+0.51)
1M: β–² +0.09% (+0.04)
Vol: 0
52W: $28.15 - $44.07
AUM: 10.27B
CPRT β†— (Y, F, Z, S) $38.86
β–² +0.83% (+0.32)
5D: β–Ό -1.62% (-0.64)
1M: β–² +0.36% (+0.14)
Vol: 2.6M
52W: $37.41 - $63.85
Market Cap: 37.62B
QQQM β†— (Y, F, Z, S) $256.54
β–² +0.83% (+2.11)
5D: β–² +0.59% (+1.50)
1M: β–Ό -0.26% (-0.66)
Vol: 3.1M
52W: $165.07 - $261.90
AUM: 70.13B
MCK ↑ (Y, F, Z, S) $831.76
β–² +0.83% (+6.84)
5D: β–² +0.54% (+4.43)
1M: β–² +2.86% (+23.14)
Vol: 228.7K
52W: $568.11 - $894.75
Market Cap: 103.46B
QQQ ↑ (Y, F, Z, S) $623.10
β–² +0.83% (+5.11)
5D: β–² +0.59% (+3.67)
1M: β–Ό -0.25% (-1.58)
Vol: 54.1M
52W: $400.96 - $636.19
Market Cap: 244.94B
ABBV ↓ (Y, F, Z, S) $221.92
β–² +0.79% (+1.74)
5D: β–Ό -3.40% (-7.82)
1M: β–Ό -1.84% (-4.16)
Vol: 3.2M
52W: $160.33 - $243.06
Market Cap: 392.22B
IGV ↓ (Y, F, Z, S) $104.44
β–² +0.79% (+0.82)
5D: β–Ό -2.38% (-2.54)
1M: β–Ό -4.58% (-5.01)
Vol: 2.2M
52W: $76.68 - $117.99
Market Cap: 1.31B
ASML ↑ (Y, F, Z, S) $1237.81
β–² +0.78% (+9.62)
5D: β–² +15.45% (+165.67)
1M: β–² +12.58% (+138.34)
Vol: 904.9K
52W: $574.25 - $1246.38
Market Cap: 480.45B
FOUR β†˜ (Y, F, Z, S) $64.45
β–² +0.77% (+0.49)
5D: β–² +0.03% (+0.02)
1M: β–Ό -6.43% (-4.43)
Vol: 542.6K
52W: $61.23 - $127.50
Market Cap: 5.71B
FCNTX β†— (Y, F, Z, S) $24.55
β–² +0.74% (+0.18)
5D: β–² +0.37% (+0.09)
1M: β–² +7.58% (+1.73)
Vol: 0
52W: $16.54 - $24.56
AUM: 175.18B
INTC ↑ (Y, F, Z, S) $39.65
β–² +0.72% (+0.28)
5D: β–² +6.31% (+2.35)
1M: β–Ό -4.24% (-1.76)
Vol: 54.6M
52W: $17.67 - $44.02
Market Cap: 189.15B
JEPQ ↑ (Y, F, Z, S) $58.86
β–² +0.72% (+0.42)
5D: β–² +0.59% (+0.34)
1M: β–² +1.05% (+0.61)
Vol: 3.0M
52W: $40.75 - $58.87
AUM: 31.92B
ROP ↓ (Y, F, Z, S) $434.70
β–² +0.70% (+3.04)
5D: β–Ό -3.22% (-14.46)
1M: β–Ό -2.67% (-11.95)
Vol: 280.7K
52W: $427.89 - $591.26
Market Cap: 46.79B
V ↑ (Y, F, Z, S) $356.29
β–² +0.70% (+2.49)
5D: β–² +0.76% (+2.67)
1M: β–² +7.56% (+25.05)
Vol: 3.1M
52W: $297.39 - $374.11
Market Cap: 687.60B
GS ↑ (Y, F, Z, S) $955.09
β–² +0.70% (+6.65)
5D: β–² +7.99% (+70.67)
1M: β–² +11.76% (+100.53)
Vol: 1.1M
52W: $432.73 - $961.69
Market Cap: 289.13B
NAIL ↓ (Y, F, Z, S) $53.03
β–² +0.67% (+0.36)
5D: β–² +3.65% (+1.87)
1M: β–Ό -12.78% (-7.77)
Vol: 930.6K
52W: $39.62 - $103.95
AUM: 666.36M
RTX ↑ (Y, F, Z, S) $189.52
β–² +0.67% (+1.26)
5D: β–² +3.00% (+5.51)
1M: β–² +10.77% (+18.42)
Vol: 1.8M
52W: $110.77 - $190.50
Market Cap: 254.11B
MSFT ↓ (Y, F, Z, S) $476.02
β–² +0.67% (+3.17)
5D: β–Ό -2.35% (-11.46)
1M: β–Ό -1.48% (-7.14)
Vol: 7.4M
52W: $342.95 - $553.50
Market Cap: 3.54T
SCHW ↑ (Y, F, Z, S) $104.43
β–² +0.67% (+0.69)
5D: β–² +3.86% (+3.88)
1M: β–² +11.31% (+10.61)
Vol: 3.1M
52W: $65.30 - $104.75
Market Cap: 189.56B
BA ↑ (Y, F, Z, S) $229.65
β–² +0.66% (+1.51)
5D: β–² +5.10% (+11.15)
1M: β–² +13.75% (+27.76)
Vol: 3.9M
52W: $128.88 - $242.69
Market Cap: 179.83B
AMP ↑ (Y, F, Z, S) $511.25
β–² +0.66% (+3.36)
5D: β–² +3.39% (+16.78)
1M: β–² +7.17% (+34.19)
Vol: 203.0K
52W: $392.21 - $574.69
Market Cap: 48.20B
XLY β†’ (Y, F, Z, S) $121.08
β–² +0.65% (+0.78)
5D: β–² +0.60% (+0.72)
1M: β–² +1.33% (+1.59)
Vol: 11.6M
52W: $86.04 - $123.39
Market Cap: 14.56B
ONEQ β†— (Y, F, Z, S) $92.56
β–² +0.65% (+0.60)
5D: β–² +0.50% (+0.46)
1M: β–Ό -0.10% (-0.09)
Vol: 133.2K
52W: $57.85 - $94.34
Market Cap: 610.88M
FXAIX β†— (Y, F, Z, S) $239.74
β–² +0.63% (+1.51)
5D: β–² +0.12% (+0.28)
1M: β–² +0.77% (+1.83)
Vol: 0
52W: $171.47 - $240.68
AUM: 738.56B
AEP β†˜ (Y, F, Z, S) $114.76
β–² +0.61% (+0.69)
5D: β–Ό -1.06% (-1.23)
1M: β–Ό -2.36% (-2.78)
Vol: 741.3K
52W: $86.88 - $124.80
Market Cap: 61.43B
VTI ↑ (Y, F, Z, S) $340.88
β–² +0.60% (+2.04)
5D: β–² +0.90% (+3.03)
1M: β–² +1.27% (+4.27)
Vol: 4.5M
52W: $234.39 - $340.90
Market Cap: 706.89B
ORCL β†’ (Y, F, Z, S) $193.69
β–² +0.57% (+1.10)
5D: β–Ό -1.78% (-3.52)
1M: β–Ό -10.98% (-23.89)
Vol: 9.2M
52W: $117.98 - $345.12
Market Cap: 556.50B
VOO ↑ (Y, F, Z, S) $636.03
β–² +0.56% (+3.57)
5D: β–² +0.68% (+4.31)
1M: β–² +1.17% (+7.33)
Vol: 5.8M
52W: $438.94 - $636.11
AUM: 1.48T
QQQI β†— (Y, F, Z, S) $54.38
β–² +0.56% (+0.31)
5D: β–² +0.23% (+0.12)
1M: β–² +0.17% (+0.09)
Vol: 2.7M
52W: $36.97 - $55.09
AUM: 6.68B
SPY ↑ (Y, F, Z, S) $691.55
β–² +0.56% (+3.83)
5D: β–² +0.66% (+4.54)
1M: β–² +1.15% (+7.88)
Vol: 42.4M
52W: $477.64 - $691.68
Market Cap: 634.69B
IVV ↑ (Y, F, Z, S) $694.61
β–² +0.55% (+3.82)
5D: β–² +0.68% (+4.69)
1M: β–² +1.16% (+7.93)
Vol: 3.1M
52W: $479.35 - $694.74
Market Cap: 431.73B
JNJ β†˜ (Y, F, Z, S) $205.43
β–² +0.55% (+1.12)
5D: β–Ό -0.72% (-1.48)
1M: β–² +1.73% (+3.50)
Vol: 3.7M
52W: $136.50 - $215.19
Market Cap: 494.94B
SCHD ↑ (Y, F, Z, S) $28.06
β–² +0.52% (+0.15)
5D: β–² +1.54% (+0.43)
1M: β–² +2.28% (+0.63)
Vol: 12.7M
52W: $23.18 - $28.13
AUM: 71.15B
BAC ↑ (Y, F, Z, S) $57.19
β–² +0.52% (+0.30)
5D: β–² +3.45% (+1.91)
1M: β–² +6.00% (+3.24)
Vol: 15.6M
52W: $32.53 - $57.55
Market Cap: 423.60B
XLF ↑ (Y, F, Z, S) $56.40
β–² +0.47% (+0.26)
5D: β–² +2.20% (+1.22)
1M: β–² +5.42% (+2.90)
Vol: 27.4M
52W: $41.78 - $56.51
Market Cap: 49.82B
FBL β†— (Y, F, Z, S) $32.50
β–² +0.43% (+0.14)
5D: β–Ό -1.96% (-0.65)
1M: β–Ό -4.67% (-1.59)
Vol: 1.1M
52W: $19.75 - $50.70
AUM: 482.48M
PWR β†’ (Y, F, Z, S) $437.64
β–² +0.42% (+1.82)
5D: β–² +2.09% (+8.94)
1M: β–Ό -4.97% (-22.88)
Vol: 448.7K
52W: $226.91 - $473.87
Market Cap: 65.26B
BRKU ↓ (Y, F, Z, S) $24.50
β–² +0.39% (+0.10)
5D: β–Ό -1.90% (-0.47)
1M: β–Ό -3.01% (-0.76)
Vol: 52.9K
52W: $21.43 - $31.80
AUM: 58.22M
AFRM ↑ (Y, F, Z, S) $81.11
β–² +0.38% (+0.31)
5D: β–² +6.93% (+5.26)
1M: β–² +19.30% (+13.12)
Vol: 1.9M
52W: $30.90 - $100.00
Market Cap: 26.77B
VUG β†’ (Y, F, Z, S) $490.15
β–² +0.35% (+1.70)
5D: β–Ό -0.31% (-1.54)
1M: β–Ό -0.70% (-3.44)
Vol: 882.2K
52W: $315.12 - $504.86
Market Cap: 118.65B
LIN ↑ (Y, F, Z, S) $434.58
β–² +0.34% (+1.48)
5D: β–² +1.45% (+6.22)
1M: β–² +8.76% (+35.01)
Vol: 797.2K
52W: $387.78 - $483.05
Market Cap: 203.78B
META β†˜ (Y, F, Z, S) $660.91
β–² +0.32% (+2.12)
5D: β–Ό -0.76% (-5.04)
1M: β–Ό -1.78% (-11.96)
Vol: 4.6M
52W: $478.72 - $795.06
Market Cap: 1.67T
XLRE β†— (Y, F, Z, S) $40.56
β–² +0.32% (+0.13)
5D: β–Ό -0.39% (-0.16)
1M: β–² +0.03% (+0.01)
Vol: 4.3M
52W: $34.79 - $42.42
AUM: 7.57B
SCHG β†’ (Y, F, Z, S) $32.83
β–² +0.31% (+0.10)
5D: β–Ό -0.15% (-0.05)
1M: β–Ό -0.39% (-0.13)
Vol: 6.8M
52W: $21.31 - $33.71
AUM: 52.61B
DIS ↑ (Y, F, Z, S) $114.40
β–² +0.29% (+0.33)
5D: β–Ό -0.34% (-0.39)
1M: β–² +9.38% (+9.81)
Vol: 3.6M
52W: $79.22 - $123.85
Market Cap: 205.67B
CHTR β†— (Y, F, Z, S) $210.61
β–² +0.29% (+0.60)
5D: β–² +0.48% (+1.01)
1M: β–² +2.69% (+5.51)
Vol: 742.7K
52W: $193.00 - $437.06
Market Cap: 28.77B
JPM ↑ (Y, F, Z, S) $334.95
β–² +0.27% (+0.90)
5D: β–² +3.56% (+11.52)
1M: β–² +6.32% (+19.90)
Vol: 3.7M
52W: $200.22 - $337.25
Market Cap: 921.02B
RIVN β†˜ (Y, F, Z, S) $19.64
β–² +0.27% (+0.05)
5D: β–² +0.27% (+0.05)
1M: β–² +9.43% (+1.69)
Vol: 25.8M
52W: $10.36 - $22.69
Market Cap: 24.08B
BB ↓ (Y, F, Z, S) $3.89
β–² +0.25% (+0.01)
5D: β–² +2.63% (+0.10)
1M: β–Ό -9.96% (-0.43)
Vol: 3.6M
52W: $2.80 - $6.24
Market Cap: 2.30B
XLP β†˜ (Y, F, Z, S) $77.51
β–² +0.21% (+0.17)
5D: β–Ό -0.81% (-0.64)
1M: β–Ό -0.41% (-0.32)
Vol: 8.8M
52W: $73.79 - $82.67
Market Cap: 16.29B
SPRX ↑ (Y, F, Z, S) $40.49
β–² +0.20% (+0.08)
5D: β–² +3.95% (+1.54)
1M: β–² +0.25% (+0.10)
Vol: 266.6K
52W: $16.31 - $44.48
AUM: 150.00M
XHB β†˜ (Y, F, Z, S) $105.44
β–² +0.20% (+0.21)
5D: β–² +1.34% (+1.39)
1M: β–Ό -1.67% (-1.79)
Vol: 1.9M
52W: $84.08 - $120.21
AUM: 1.72B
NVDU β†— (Y, F, Z, S) $119.90
β–² +0.20% (+0.24)
5D: β–² +0.64% (+0.76)
1M: β–² +4.86% (+5.56)
Vol: 590.9K
52W: $30.90 - $158.78
AUM: 586.59M
BRK-B β†˜ (Y, F, Z, S) $499.39
β–² +0.18% (+0.88)
5D: β–Ό -0.86% (-4.32)
1M: β–Ό -0.98% (-4.95)
Vol: 1.9M
52W: $440.10 - $542.07
Market Cap: 1.08T
NVDL β†— (Y, F, Z, S) $89.54
β–² +0.17% (+0.15)
5D: β–² +0.56% (+0.50)
1M: β–² +4.92% (+4.20)
Vol: 10.1M
52W: $23.12 - $118.50
AUM: 4.28B
🟒 CSX β†˜ (Y, F, Z, S) $35.97
β–² +0.15% (+0.06)
5D: β–Ό -1.25% (-0.45)
1M: β–Ό -0.92% (-0.33)
Vol: 10.4M
52W: $25.91 - $37.54
Market Cap: 67.05B
WDAY ↓ (Y, F, Z, S) $209.21
β–² +0.15% (+0.31)
5D: β–Ό -3.56% (-7.72)
1M: β–Ό -4.89% (-10.75)
Vol: 658.4K
52W: $202.22 - $283.68
Market Cap: 55.86B
C ↑ (Y, F, Z, S) $123.46
β–² +0.13% (+0.16)
5D: β–² +5.34% (+6.25)
1M: β–² +13.40% (+14.58)
Vol: 5.0M
52W: $54.39 - $124.17
Market Cap: 227.29B
NKE ↑ (Y, F, Z, S) $64.61
β–² +0.13% (+0.08)
5D: β–² +5.60% (+3.42)
1M: β–Ό -1.89% (-1.25)
Vol: 12.4M
52W: $51.34 - $80.55
Market Cap: 95.65B
CSGP β†— (Y, F, Z, S) $66.50
β–² +0.13% (+0.08)
5D: β–Ό -2.00% (-1.36)
1M: β–Ό -2.21% (-1.51)
Vol: 856.2K
52W: $62.00 - $97.43
Market Cap: 28.19B
TRFK β†’ (Y, F, Z, S) $64.93
β–² +0.12% (+0.08)
5D: β–² +0.39% (+0.25)
1M: β–Ό -4.10% (-2.77)
Vol: 414.6K
52W: $37.46 - $74.22
AUM: 340.02M
PG ↓ (Y, F, Z, S) $140.52
β–² +0.11% (+0.15)
5D: β–Ό -2.45% (-3.53)
1M: β–Ό -2.04% (-2.93)
Vol: 3.8M
52W: $138.14 - $176.43
Market Cap: 328.89B
NVDA β†— (Y, F, Z, S) $188.26
β–² +0.07% (+0.14)
5D: β–² +0.38% (+0.72)
1M: β–² +3.21% (+5.85)
Vol: 126.6M
52W: $86.60 - $212.18
Market Cap: 4.58T
PYPL β†˜ (Y, F, Z, S) $59.31
β–² +0.04% (+0.02)
5D: β–² +0.36% (+0.21)
1M: β–Ό -4.76% (-2.97)
Vol: 6.3M
52W: $55.72 - $93.03
Market Cap: 56.67B
VZ β†˜ (Y, F, Z, S) $40.24
β–² +0.04% (+0.01)
5D: β–Ό -1.12% (-0.46)
1M: β–Ό -3.47% (-1.44)
Vol: 15.8M
52W: $35.79 - $45.09
Market Cap: 169.69B
CRWD ↓ (Y, F, Z, S) $456.70
β–² +0.03% (+0.15)
5D: β–Ό -3.98% (-18.93)
1M: β–Ό -10.81% (-55.33)
Vol: 801.0K
52W: $298.00 - $566.90
Market Cap: 115.13B
VRSK β†— (Y, F, Z, S) $220.71
β–² +0.00% (+0.01)
5D: β–Ό -1.63% (-3.65)
1M: β–Ό -0.03% (-0.07)
Vol: 615.8K
52W: $196.59 - $321.24
Market Cap: 30.84B
FER β†— (Y, F, Z, S) $67.17
β–Ό -0.01% (-0.01)
5D: β–² +3.47% (+2.25)
1M: β–² +1.73% (+1.14)
Vol: 1.1M
52W: $39.39 - $68.09
Market Cap: 48.25B
EA β†— (Y, F, Z, S) $204.32
β–Ό -0.02% (-0.04)
5D: β–Ό -0.01% (-0.03)
1M: β–² +0.20% (+0.40)
Vol: 469.1K
52W: $114.66 - $204.89
Market Cap: 51.10B
EXC β†˜ (Y, F, Z, S) $43.51
β–Ό -0.07% (-0.03)
5D: β–Ό -0.93% (-0.41)
1M: β–Ό -0.68% (-0.30)
Vol: 1.9M
52W: $35.83 - $48.09
Market Cap: 43.94B
TRI β†˜ (Y, F, Z, S) $129.23
β–Ό -0.09% (-0.12)
5D: β–Ό -2.70% (-3.59)
1M: β–Ό -3.14% (-4.19)
Vol: 451.4K
52W: $126.21 - $216.72
Market Cap: 58.42B
KO ↓ (Y, F, Z, S) $67.87
β–Ό -0.10% (-0.07)
5D: β–Ό -3.14% (-2.20)
1M: β–Ό -3.04% (-2.13)
Vol: 9.8M
52W: $58.88 - $72.91
Market Cap: 292.09B
WBD β†’ (Y, F, Z, S) $28.50
β–Ό -0.12% (-0.03)
5D: β–Ό -1.54% (-0.44)
1M: β–² +9.26% (+2.42)
Vol: 7.4M
52W: $7.52 - $30.00
Market Cap: 70.62B
KDP ↓ (Y, F, Z, S) $27.27
β–Ό -0.18% (-0.05)
5D: β–Ό -2.32% (-0.65)
1M: β–Ό -4.16% (-1.18)
Vol: 4.9M
52W: $24.82 - $35.33
Market Cap: 37.05B
MNST β†˜ (Y, F, Z, S) $75.53
β–Ό -0.19% (-0.14)
5D: β–Ό -2.44% (-1.89)
1M: β–² +2.42% (+1.79)
Vol: 1.2M
52W: $45.70 - $78.31
Market Cap: 73.79B
BUZZ ↑ (Y, F, Z, S) $34.17
β–Ό -0.20% (-0.07)
5D: β–² +4.08% (+1.34)
1M: β–Ό -1.64% (-0.57)
Vol: 784.3K
52W: $18.82 - $39.58
AUM: 107.77M
XEL β†’ (Y, F, Z, S) $73.91
β–Ό -0.22% (-0.16)
5D: β–Ό -0.38% (-0.28)
1M: β–Ό -3.50% (-2.68)
Vol: 1.8M
52W: $60.60 - $82.37
Market Cap: 43.72B
SHOP β†’ (Y, F, Z, S) $165.79
β–Ό -0.25% (-0.42)
5D: β–² +1.25% (+2.05)
1M: β–² +2.92% (+4.71)
Vol: 1.8M
52W: $69.84 - $182.19
Market Cap: 215.83B
BKR ↑ (Y, F, Z, S) $48.94
β–Ό -0.26% (-0.13)
5D: β–² +6.18% (+2.85)
1M: β–Ό -0.53% (-0.26)
Vol: 3.2M
52W: $33.06 - $51.12
Market Cap: 48.29B
GEV β†— (Y, F, Z, S) $679.03
β–Ό -0.27% (-1.83)
5D: β–² +3.02% (+19.88)
1M: β–² +7.64% (+48.17)
Vol: 1.5M
52W: $251.66 - $730.46
Market Cap: 184.85B
SHPU β†’ (Y, F, Z, S) $30.80
β–Ό -0.40% (-0.12)
5D: β–² +2.22% (+0.67)
1M: β–² +6.08% (+1.77)
Vol: 11.0K
52W: $21.18 - $38.72
AUM: 9.39M
XLC β†— (Y, F, Z, S) $117.26
β–Ό -0.41% (-0.49)
5D: β–Ό -0.87% (-1.03)
1M: β–² +0.44% (+0.51)
Vol: 3.2M
52W: $83.26 - $118.87
AUM: 26.19B
WFC ↑ (Y, F, Z, S) $95.98
β–Ό -0.42% (-0.40)
5D: β–² +1.77% (+1.67)
1M: β–² +6.85% (+6.15)
Vol: 6.7M
52W: $57.46 - $97.76
Market Cap: 307.47B
HIMS β†˜ (Y, F, Z, S) $34.56
β–Ό -0.43% (-0.15)
5D: β–² +4.61% (+1.52)
1M: β–Ό -11.83% (-4.64)
Vol: 6.4M
52W: $23.97 - $72.98
Market Cap: 7.87B
TARK β†— (Y, F, Z, S) $53.55
β–Ό -0.43% (-0.23)
5D: β–² +8.08% (+4.01)
1M: β–Ό -3.11% (-1.72)
Vol: 8.4K
52W: $14.37 - $74.00
AUM: 30.42M
TRV β†˜ (Y, F, Z, S) $286.49
β–Ό -0.44% (-1.27)
5D: β–Ό -2.01% (-5.89)
1M: β–² +2.40% (+6.71)
Vol: 617.0K
52W: $226.54 - $295.68
Market Cap: 64.50B
CSCO ↓ (Y, F, Z, S) $75.22
β–Ό -0.47% (-0.36)
5D: β–Ό -2.30% (-1.77)
1M: β–Ό -3.00% (-2.33)
Vol: 7.1M
52W: $51.21 - $80.39
Market Cap: 297.22B
ORLY ↓ (Y, F, Z, S) $90.14
β–Ό -0.49% (-0.44)
5D: β–Ό -1.45% (-1.33)
1M: β–Ό -8.85% (-8.75)
Vol: 5.1M
52W: $79.58 - $108.72
Market Cap: 76.26B
GME ↓ (Y, F, Z, S) $20.61
β–Ό -0.51% (-0.10)
5D: β–² +0.56% (+0.11)
1M: β–Ό -10.37% (-2.39)
Vol: 1.9M
52W: $19.93 - $35.81
Market Cap: 9.24B
ARM β†˜ (Y, F, Z, S) $115.49
β–Ό -0.53% (-0.62)
5D: β–² +4.18% (+4.63)
1M: β–Ό -18.27% (-25.82)
Vol: 2.0M
52W: $80.00 - $183.16
Market Cap: 122.53B
AZO ↓ (Y, F, Z, S) $3248.55
β–Ό -0.60% (-19.75)
5D: β–Ό -4.42% (-150.30)
1M: β–Ό -15.02% (-574.11)
Vol: 76.6K
52W: $3162.00 - $4388.11
Market Cap: 54.03B
SPCE ↓ (Y, F, Z, S) $3.23
β–Ό -0.61% (-0.02)
5D: β–Ό -2.12% (-0.07)
1M: β–Ό -25.06% (-1.08)
Vol: 3.6M
52W: $2.18 - $6.74
Market Cap: 204.14M
GOOGL β†— (Y, F, Z, S) $314.44
β–Ό -0.66% (-2.10)
5D: β–² +0.19% (+0.59)
1M: β–Ό -2.06% (-6.62)
Vol: 15.7M
52W: $140.14 - $328.62
Market Cap: 3.81T
INSM ↓ (Y, F, Z, S) $174.00
β–Ό -0.68% (-1.20)
5D: β–Ό -0.05% (-0.09)
1M: β–Ό -14.71% (-30.00)
Vol: 648.3K
52W: $60.40 - $212.75
Market Cap: 37.11B
NFLX β†˜ (Y, F, Z, S) $90.83
β–Ό -0.69% (-0.63)
5D: β–Ό -3.15% (-2.95)
1M: β–Ό -9.39% (-9.41)
Vol: 31.9M
52W: $82.11 - $134.12
Market Cap: 384.88B
PEP ↓ (Y, F, Z, S) $138.93
β–Ό -0.71% (-0.99)
5D: β–Ό -3.63% (-5.23)
1M: β–Ό -4.20% (-6.09)
Vol: 3.3M
52W: $123.93 - $155.29
Market Cap: 190.21B
ZS β†˜ (Y, F, Z, S) $221.08
β–Ό -0.75% (-1.68)
5D: β–Ό -2.79% (-6.34)
1M: β–Ό -8.90% (-21.60)
Vol: 641.8K
52W: $164.78 - $336.99
Market Cap: 35.26B
GOOG β†— (Y, F, Z, S) $314.84
β–Ό -0.78% (-2.48)
5D: β–² +0.09% (+0.29)
1M: β–Ό -2.19% (-7.04)
Vol: 9.7M
52W: $142.27 - $328.46
Market Cap: 3.80T
CEG ↓ (Y, F, Z, S) $352.13
β–Ό -0.79% (-2.81)
5D: β–Ό -1.40% (-4.99)
1M: β–Ό -2.14% (-7.69)
Vol: 961.0K
52W: $160.75 - $412.23
Market Cap: 110.01B
VRT β†— (Y, F, Z, S) $172.51
β–Ό -0.82% (-1.43)
5D: β–² +4.97% (+8.18)
1M: β–Ό -8.73% (-16.51)
Vol: 5.6M
52W: $53.55 - $202.37
Market Cap: 65.96B
TREE β†— (Y, F, Z, S) $54.00
β–Ό -0.83% (-0.45)
5D: β–² +1.33% (+0.71)
1M: β–Ό -2.74% (-1.52)
Vol: 38.2K
52W: $33.50 - $77.35
Market Cap: 738.22M
MRVL β†— (Y, F, Z, S) $89.42
β–Ό -0.90% (-0.81)
5D: β–² +3.07% (+2.66)
1M: β–Ό -9.59% (-9.49)
Vol: 20.0M
52W: $46.97 - $127.15
Market Cap: 77.09B
TMUS β†’ (Y, F, Z, S) $198.73
β–Ό -1.06% (-2.13)
5D: β–Ό -2.49% (-5.07)
1M: β–Ό -5.20% (-10.90)
Vol: 1.2M
52W: $194.01 - $273.15
Market Cap: 223.65B
ARMG β†˜ (Y, F, Z, S) $6.33
β–Ό -1.09% (-0.07)
5D: β–² +7.84% (+0.46)
1M: β–Ό -34.77% (-3.37)
Vol: 346.8K
52W: $4.09 - $24.69
AUM: 13.22M
🟠 TTD β†— (Y, F, Z, S) $39.65
β–Ό -1.14% (-0.46)
5D: β–² +4.02% (+1.53)
1M: β–Ό -0.99% (-0.40)
Vol: 4.8M
52W: $35.65 - $127.59
Market Cap: 19.38B
KHC ↓ (Y, F, Z, S) $23.50
β–Ό -1.14% (-0.27)
5D: β–Ό -3.81% (-0.93)
1M: β–Ό -3.46% (-0.84)
Vol: 7.2M
52W: $23.33 - $31.87
Market Cap: 27.81B
TTWO ↑ (Y, F, Z, S) $254.10
β–Ό -1.25% (-3.21)
5D: β–Ό -1.48% (-3.81)
1M: β–² +2.51% (+6.22)
Vol: 240.1K
52W: $177.35 - $264.79
Market Cap: 46.95B
BKNG β†’ (Y, F, Z, S) $5293.17
β–Ό -1.38% (-74.20)
5D: β–Ό -2.47% (-133.98)
1M: β–² +1.85% (+96.13)
Vol: 54.8K
52W: $4074.35 - $5818.24
Market Cap: 171.55B
GGLL β†˜ (Y, F, Z, S) $97.64
β–Ό -1.44% (-1.43)
5D: β–² +0.10% (+0.10)
1M: β–Ό -5.16% (-5.31)
Vol: 2.6M
52W: $22.56 - $108.15
AUM: 1.15B
XOP β†˜ (Y, F, Z, S) $125.65
β–Ό -1.45% (-1.85)
5D: β–Ό -1.39% (-1.78)
1M: β–Ό -7.40% (-10.04)
Vol: 1.6M
52W: $97.08 - $142.87
Market Cap: 8.86B
PILL ↓ (Y, F, Z, S) $11.45
β–Ό -1.46% (-0.17)
5D: β–Ό -8.25% (-1.03)
1M: β–² +1.05% (+0.12)
Vol: 363.6K
52W: $3.59 - $13.33
AUM: 16.80M
🟠 TPL β†˜ (Y, F, Z, S) $292.99
β–Ό -1.53% (-4.55)
5D: β–² +0.11% (+0.31)
1M: β–Ό -4.98% (-15.37)
Vol: 175.5K
52W: $269.23 - $485.16
Market Cap: 20.20B
T β†˜ (Y, F, Z, S) $24.30
β–Ό -1.66% (-0.41)
5D: β–Ό -2.06% (-0.51)
1M: β–Ό -3.88% (-0.98)
Vol: 29.6M
52W: $20.72 - $29.47
Market Cap: 173.75B
AAPL ↓ (Y, F, Z, S) $262.74
β–Ό -1.69% (-4.52)
5D: β–Ό -3.79% (-10.34)
1M: β–Ό -5.75% (-16.04)
Vol: 19.5M
52W: $168.63 - $288.62
Market Cap: 3.90T
SMCI β†˜ (Y, F, Z, S) $29.53
β–Ό -1.80% (-0.54)
5D: β–Ό -0.40% (-0.12)
1M: β–Ό -14.87% (-5.16)
Vol: 14.5M
52W: $25.71 - $66.44
Market Cap: 17.63B
FANG ↓ (Y, F, Z, S) $144.33
β–Ό -1.81% (-2.66)
5D: β–Ό -4.58% (-6.92)
1M: β–Ό -9.00% (-14.27)
Vol: 899.8K
52W: $111.64 - $175.92
Market Cap: 41.78B
CCEP ↓ (Y, F, Z, S) $85.72
β–Ό -2.10% (-1.83)
5D: β–Ό -6.41% (-5.88)
1M: β–Ό -5.43% (-4.93)
Vol: 670.3K
52W: $71.51 - $99.10
Market Cap: 39.12B
DJT ↑ (Y, F, Z, S) $14.08
β–Ό -2.15% (-0.31)
5D: β–² +12.01% (+1.51)
1M: β–² +23.94% (+2.72)
Vol: 6.4M
52W: $10.18 - $43.46
Market Cap: 3.94B
CRWV β†˜ (Y, F, Z, S) $75.14
β–Ό -2.24% (-1.72)
5D: β–² +1.68% (+1.24)
1M: β–Ό -14.90% (-13.16)
Vol: 20.1M
52W: $33.51 - $187.00
Market Cap: 37.44B
PM ↓ (Y, F, Z, S) $156.27
β–Ό -2.25% (-3.59)
5D: β–Ό -3.51% (-5.68)
1M: β–² +6.69% (+9.80)
Vol: 1.8M
52W: $112.16 - $181.91
Market Cap: 243.26B
XOM ↑ (Y, F, Z, S) $122.50
β–Ό -2.28% (-2.86)
5D: β–² +1.25% (+1.51)
1M: β–² +5.11% (+5.96)
Vol: 10.3M
52W: $95.18 - $125.93
Market Cap: 522.25B
XLE ↑ (Y, F, Z, S) $45.72
β–Ό -2.50% (-1.17)
5D: β–² +1.69% (+0.76)
1M: β–² +0.41% (+0.19)
Vol: 41.8M
52W: $36.32 - $47.32
Market Cap: 8.52B
FICO ↓ (Y, F, Z, S) $1609.32
β–Ό -2.67% (-44.16)
5D: β–Ό -7.81% (-136.43)
1M: β–Ό -10.52% (-189.21)
Vol: 169.8K
52W: $1300.00 - $2217.60
Market Cap: 38.63B
LB ↓ (Y, F, Z, S) $45.35
β–Ό -2.82% (-1.31)
5D: β–Ό -9.71% (-4.88)
1M: β–Ό -23.89% (-14.24)
Vol: 287.5K
52W: $45.12 - $87.17
Market Cap: 3.61B
COIN β†’ (Y, F, Z, S) $247.73
β–Ό -2.82% (-7.19)
5D: β–² +6.96% (+16.13)
1M: β–Ό -8.16% (-22.00)
Vol: 5.3M
52W: $142.58 - $444.65
Market Cap: 66.80B
CMCSA β†’ (Y, F, Z, S) $27.33
β–Ό -2.83% (-0.80)
5D: β–Ό -2.68% (-0.75)
1M: β–² +6.80% (+1.74)
Vol: 24.6M
52W: $24.13 - $34.97
Market Cap: 107.73B
GPRO ↓ (Y, F, Z, S) $1.46
β–Ό -3.00% (-0.04)
5D: β–Ό -1.02% (-0.01)
1M: β–Ό -20.49% (-0.38)
Vol: 1.4M
52W: $0.40 - $3.05
Market Cap: 232.40M
AMD β†˜ (Y, F, Z, S) $214.26
β–Ό -3.09% (-6.82)
5D: β–Ό -0.50% (-1.08)
1M: β–Ό -1.70% (-3.71)
Vol: 25.0M
52W: $76.48 - $267.08
Market Cap: 348.82B
LAYS β†˜ (Y, F, Z, S) $45.82
β–Ό -3.20% (-1.51)
5D: β–Ό -0.32% (-0.15)
1M: β–Ό -0.39% (-0.18)
Vol: 843
52W: $10.70 - $67.45
AUM: 5.05M
HOOD β†˜ (Y, F, Z, S) $119.28
β–Ό -3.21% (-3.96)
5D: β–² +3.32% (+3.83)
1M: β–Ό -9.60% (-12.67)
Vol: 9.6M
52W: $29.66 - $153.86
Market Cap: 107.26B
AAPU ↓ (Y, F, Z, S) $31.33
β–Ό -3.39% (-1.10)
5D: β–Ό -7.53% (-2.55)
1M: β–Ό -11.79% (-4.19)
Vol: 1.7M
52W: $14.73 - $38.13
AUM: 188.49M
KOSS β†˜ (Y, F, Z, S) $4.32
β–Ό -3.57% (-0.16)
5D: β–² +2.86% (+0.12)
1M: β–Ό -10.37% (-0.50)
Vol: 85.7K
52W: $4.00 - $8.59
Market Cap: 40.85M
CRDO ↓ (Y, F, Z, S) $135.15
β–Ό -3.63% (-5.09)
5D: β–Ό -6.74% (-9.77)
1M: β–Ό -23.23% (-40.89)
Vol: 4.8M
52W: $29.09 - $213.80
Market Cap: 24.41B
BE β†— (Y, F, Z, S) $99.79
β–Ό -3.93% (-4.08)
5D: β–² +14.36% (+12.53)
1M: β–Ό -16.27% (-19.39)
Vol: 6.6M
52W: $15.15 - $147.86
Market Cap: 23.60B
APP ↓ (Y, F, Z, S) $607.47
β–Ό -4.02% (-25.44)
5D: β–Ό -12.43% (-86.24)
1M: β–Ό -12.21% (-84.47)
Vol: 3.1M
52W: $200.50 - $745.61
Market Cap: 205.48B
CRWG β†˜ (Y, F, Z, S) $2.95
β–Ό -4.37% (-0.13)
5D: β–² +1.55% (+0.04)
1M: β–Ό -34.46% (-1.55)
Vol: 18.9M
52W: $2.27 - $18.40
AUM: 74.66M
TSLA ↓ (Y, F, Z, S) $431.35
β–Ό -4.50% (-20.32)
5D: β–Ό -5.08% (-23.08)
1M: β–Ό -5.20% (-23.65)
Vol: 59.3M
52W: $214.25 - $498.83
Market Cap: 1.43T
CVX β†— (Y, F, Z, S) $156.27
β–Ό -4.63% (-7.58)
5D: β–² +2.60% (+3.96)
1M: β–² +4.18% (+6.27)
Vol: 12.5M
52W: $127.59 - $165.75
Market Cap: 314.86B
CONL β†’ (Y, F, Z, S) $17.43
β–Ό -5.50% (-1.02)
5D: β–² +13.21% (+2.03)
1M: β–Ό -18.03% (-3.84)
Vol: 10.5M
52W: $9.21 - $72.35
AUM: 688.68M
MSTR β†˜ (Y, F, Z, S) $154.92
β–Ό -5.95% (-9.80)
5D: β–Ό -0.44% (-0.69)
1M: β–Ό -13.45% (-24.07)
Vol: 16.3M
52W: $149.75 - $457.22
Market Cap: 44.83B
AMDL β†˜ (Y, F, Z, S) $15.51
β–Ό -6.20% (-1.03)
5D: β–Ό -1.30% (-0.20)
1M: β–Ό -5.23% (-0.86)
Vol: 19.8M
52W: $2.77 - $25.86
AUM: 671.78M
TSLL ↓ (Y, F, Z, S) $17.50
β–Ό -8.95% (-1.72)
5D: β–Ό -10.39% (-2.03)
1M: β–Ό -12.08% (-2.41)
Vol: 139.1M
52W: $6.01 - $30.05
AUM: 6.36B